Archive for October, 2013
VP Senior Consultant Financial Control
Role description The VP Senior Consultant Financial Controller will hold the following responsibilities: • Assist in management of Financial Control operational activities and provide day-to-day oversight of other Finance Consultants to support the Finance Manager. • Oversee and manage the production of accurate and timely local and corporate consolidations and monthly sign off to US controllers. • Preparation, management and review of UK statutory accounts, board reports, audits including analysis of results and communication materials focusing on key business factors driving financial performance. Read more […]
Black Belt Six Sigma Change Leader
Role description The Blackbelt Six Sigma Change Leader role is achallenging and high profile role within a team driving a major transformational change of the Global Risk function of a major banking client based in London. Primary responsibilities are to support the implementation of the RiskStrategic Target Operating Model (TOM) through: • Driving the implementation of an emerging portfolio of major change projects. • Leading the re-engineering of core Risk processes using Lean Sigma tools and techniques to drive efficiency and effectiveness improvements and create ‘one best way’ of running Read more […]
Manager
As part of the team you will be leading projects in areas such as AML control reviews, health checks, MA AML due diligence, Sanctions investigations, KYC remediation and more. Key responsibilities: Lead AML compliance reviews, health checks and KYC remediation engagements Provide subject matter expertise in the area of AML and Sanctions investigations Develop AML policies and procedures Take responsibility for engagement planning, management, and leading teams on both small and large client projects Drive new business development initiatives for the firm What we are looking for: Ideally you will Read more […]
Manager
As part of the team you will be leading projects in areas such as AML control reviews, health checks, MA AML due diligence, Sanctions investigations, KYC remediation and more. Key responsibilities: Lead AML compliance reviews, health checks and KYC remediation engagements Provide subject matter expertise in the area of AML and Sanctions investigations Develop AML policies and procedures Take responsibility for engagement planning, management, and leading teams on both small and large client projects Drive new business development initiatives for the firm What we are looking for: Ideally you will Read more […]
Associate
Our client is committed to being a major player in the LBO and Private Equity backed deals requires a capable and effective Syndication function. The role, in Capital Markets is a key contributor to this function and the successful candidate shall display strong technical and interpersonal skills to work as part of the wider deal team. They will be committed, hard working and keen to learn and take on new challenges. Specifically the role will involve: • Preparing and/or input into pitch books, weekly and monthly and ad hoc internal reports and comp tables • Creating and ensuring the accurate Read more […]
Senior Specialist Lawyer M & A
Join Santander and you’ll become a vital part of a business built on the outstanding service provided to our customers, as well as the award-winning products we offer. We’re one of the fastest growing banks in the UK and that is down to our people. And we recognise that as we help you develop your career you’ll be doing the same for our business. The Santander Group has more than 150 years’ experience in global banking and more branches worldwide than any other international bank. We are well on the way to repeating this success in the UK, having been recognised as one the “Top Employers in the Read more […]
Energy Derivatives Manager
JOB RESPONSIBILITIES Responsible for setting up processes and controls for the derivative operations function for Oil, Gas, Power, Emissions LNG. Manage the relationship to: the exchanges e.g. ICE; external brokers; and, client services; Advise traders on clearing methods, models, and processes; Daily clearing broker reconciliations for all Futures, OTC Cleared and EFP Trades. 4-way check between Clearing Broker Statement / Symphony (ETRM) / Broker recaps / Trade Blotter – Retain signed evidence for audit purposes; Review clearing agreements, commission schedules and credit margin facility Read more […]
SQL DBA, SQL2012, SSIS, SSRS, Charles River, Production-Finance
SQL DBA, SQL 2012, Production DBA, Database Administrator, 3rd Line support, SQL, Charles River/Asset Management Systems, SSIS, SSRS, SSAS, SQL 2012 Investment Management Production DBA required on a permanent basis to join a leading FTSE 250 Asset Management company. The role will focus on general database management, backups, restores, log shipping, performance optimisation, administering SQL server features (SSIS, SSRS). Experience within financial services is a must. Supporting Charles River or equivalent systems knowledge is highly desirable. Salary – up to £65,000 + bonus, pension (12%) Read more […]
Client Services Associate- UCITS
Our client is a highly respected global asset manager that invests in a wide range of products and strategies encompassing traditional and alternative equities and fixed income. Due to continued expansion of the business across 2013 and beyond they have an opening for a 4-6 year client services associate to join a newly created team servicing retail and institutional clients for the EMEA region. Duties are diverse and include: Resolution of client queries as they arise. Interaction with intermediary/distribution clients, transfer agents and ithe internal intermediary sales team. Assist with Read more […]
CFS CS Team Coach
Business Unit The Client Services division is responsible for looking after the day to day interactions we have with our clients – both advisers and investors.CS has a contact centre, where our clients call to ask questions or make alterations to their accounts. We also have many administrators who act on instructions we receive from our clients by phone, letter or email and make changes or move money on their behalf.Our contact centre and administrators are assisted by other teams who balance the books, train staff and monitor and maintain our systems.This role is part of our Investor Administration Read more […]