Cash Equities Product Controller recruitment
The role is responsible for:
- Perform daily PL, PL analysis, explanation and reporting.
- Perform Balance Sheet review and control
- Month end close process, including financial statements disclosure
- Supporting projects and New Business driven by Equities business and Finance
- Process and reporting improvements
- Primary face off to Desk for Equities Cash, Facilitation and ECMG products
- Maintenance of core controls.
- Work in collaboration with IT, Operations and Settlements to address systematic issues.
- Work independently on existing process improvements along with integration of the new business and infrastructure
Monthly closing tasks include:
- Perform the Balance Sheet review and substantiation.
- Perform various control accounts review.
- Prepare PL and Balance Sheet commentaries.
The business is fast moving and is growing in terms of size and complexity, thus requiring a proactive, dynamic, innovative and motivated individual to join the team and to quickly take on the above responsibilities. To add maximum value, the role will also require an understanding of and contribution to the other functions of the wider Product Control/Finance group.
Requirements:
- Minimum of 4 years accounting experience
- Familiarity with Microsoft Office suite (Word, Excel, Access). Knowledge of Microsoft Excel is required and knowledge of Microsoft Access would be helpful
- Qualified Accountant - Big 4 experience, beneficial
June 13, 2012
• Tags: Accounting & Finance careers in the Australia, Cash Equities Product Controller recruitment • Posted in: Financial