Analyst- Financial Control/ Product Control Wealth Management recruitment
Responsibilities :
• Performing daily monitoring off positions and work closely with the dealing desk to ensure that end of day positions and balance sheet positions are cleared so as to adhere to FX DVaR limits.
• Performing control check to ensure FX trades are back to back, following up with dealing desk, operations, front office on any known breaks
• Produce daily FX PL report, analysing daily movement in ledger, and obtain sign off from dealers.
• Analysis of forward and interest mismatches, and follow up if there are any unexplained mismatches.
• Tracking subsidised loans and cost of subsidising them.
• Daily reporting of bank exposures facing external counterparties, requesting for new limit requests, and monitoring to ensure exposure does not exceed limits.
• You will be required to provide weekly margin reporting as well as to monitor credit discounts and production of insightful MI for senior management.
Requirements :
• Preferred to hold a university degree, qualified accountant or similar post graduate program
• The ideal candidate should have strong core financial control experience gained within a banking environment.
• The candidate should demonstrate a width and depth of product knowledge, especially in relation to FX products. It is preferred that the role holder has the drive and determination to identify and resolve issues, as well as possesses the dynamic and flexible approach with a business start-up mentality to thrive in a change environment.
• The shortlisted candidate should demonstrate understanding of financial services industry (preferably relating to private banking ⁄ Wealth management).
• Strong technical and product knowledge
If you meet the above Requirements, please send your CV to valerie.garcia@tomrecruitment.com or via telephone: +65 6671 3354.