Prime Services Equity Finance Product Controller- Analyst recruitment
Company Overview
Barclays moves, lends, invests and protects money for customers and clients worldwide. With over 300 years of history and expertise in banking, we operate in over 50 countries and employ over 140,000 people. We provide large corporate, government and institutional clients with a full spectrum of solutions to their strategic advisory, financing and risk management needs. Our clients also benefit from access to the breadth of expertise across Barclays. We're one of the largest financial services providers in the world, and are also engaged in retail banking, credit cards, corporate banking, and wealth and investment management.
For further information about Barclays, please visit our website www.barclays.com. It is the policy of Barclays to ensure equal employment opportunity without discrimination or harassment on the basis of race, color, creed, religion, national origin, alienage or citizenship status, age, sex, sexual orientation, gender identity or expression, marital or domestic/civil partnership status, disability, veteran status, genetic information, or any other basis protected by law.
Department Overview
The Prime Services Equity Finance Product Control Group is part of the Global Finance Department.
Product Control has a significant presence and role within the Organization. Product Control supports the trading desk and has a close working relationship with Operations, Financial Control, IT and other areas focusing on control, service and reporting. Product Control is a central point of contact for many issues that affect the firm.
Main Function
Prime Services Equity Finance Product Control is responsible for the reporting and substantiation of PL and Balance Sheet for the Equity Finance business as well as ensuring proper controls are in place and maintained for the business.
Main Duties
- Report, substantiate and provide commentary for daily PL and PL explains
- Report and provide commentary for daily Global Balance Sheet · Analyze daily cash source and uses
- Communicate with the trading desk and Operations on differences between the front office systems and back office systems
- Perform month-end General Ledger close for PL and Balance Sheet including substantiation
- Assist with the weekly and monthly PL reporting and commentary
- Ad-hoc requests for analysis and reporting
- Assist with business development
- Able to articulate issues with the front office, Operations and other areas within Finance
- Able to work in a team environment