Officer, P&L Business Control Analyst
This leading firm within Global Banking and Markets is looking to recruit a dynamic and progressive Part Qualified Accountant (CIMA/ACCA/CFA) with experience of working with Financial Services, good product knowledge and analysis of daily PL and Balance Sheet.
Who we are looking for:
You should be looking to begin a career within a banking Middle Office function; no significant prior Middle Office experience is required.
The role will enable the gaining of strong PL and B/S experience, ability to display good judgement and involvement in a restructuring/change effort.
You should be proactive and be able to form ideas and suggestions to other team members
Part Qualified - ACCA/CIMA/CFA
Posses an excellent academic record
Overview/Scope:
Facilitate International Treasury Middle Office reporting, analysis and development on a tactical to strategic approach.
Establish themselves as a core associate to Front Office, Treasury Finance, Corporate Reporting and other key stakeholders.
Develop to become a core member of the Treasury Middle Office by understanding:
Products – Treasury, FX, Liquid Assets, IR Derivatives and others
Business Flows – Funding flows inter-company and intra-company
Accounting Concepts – Accrual and MTM
Market Changes impacting a number of legal entities
Responsibilities
Reporting includes production and analysis of daily pl and B/S for all Treasury relationships and products in London and BASL.
Product set covering Treasury funding accrual positions, Liquid Assets and IR/FX derivatives.
Requirement to become a Treasury core associate to manage relationships in inter-company and intra-company, leveraging multiple core stakeholders.
Expectation to complete and assist in analysis of the business and downstream reporting.
Participate in changing infrastructure decisions and managing the impacts on the above.
Pro-actively manage their responsibilities with the support of the wider team and business.
Leave a Reply
You must be logged in to post a comment.