Energy/Commodities – VP – Middle Office/Risk Control recruitment
You will lead a team of controllers who manage and enhance daily PL functions; business reporting and ledger control and be the main point of contact for Front Office.You will be expected to support in the implementation of improvements to the system infrastructure control environment. Additionally you will deliver support for new products and initiatives In order to be considered for this role, you must possess the following:Good understanding of physical commodity/energy assets – particularly Power and Gas.String technical understanding of physical and financial forwards, OTC and exchange Read more […]
Treasury Associate recruitment
One of the world’s largest financial institutions is currently looking to recruit an Associate level Treasury Assistant for its treasury function in London.Treasury is a revenue generating team which is responsible for the company’s funding, asset liability balance sheet management, liquidity, and the investment of capital.As an Associate in this small team, you will undertake a varied treasury role to basically offer support to the function wherever it is required. You may be involved in producing analysis and MI for internal use, reports for the CFO, some cash management work, mitigating Read more […]
Tax Associate recruitment
Your Responsibilities Will Include:Responsible for the compilation of the EU Energy (gas, power emissions) and VAT and energy tax (e.g. CCL) returns for the JPM Commodity group in a timely and accurate mannerLiasing with Operations to ensure that the data received for the above returns are complete, accurate and on timeLiasing with Group Tax to ensure that data provided by the Commodity tax team are accurate and on timeEnsuring that any process gaps in the above compliance process are identified and closed, with a view towards a more efficient automated processWorking as a team with the other Read more […]
Treasury Liquidity Risk, Encumbrance Policy and Strategy recruitment
Treasury is responsible for the management and execution of the group’s capital, funding and liquidity risks and requirements. The Treasury is centred around five global functional pillars – Capital Management, Liquidity Management, ALM/FTP, Treasury Execution and the Investment Function – complemented by three regional and two business cluster Treasuries.These functional, regional and business treasuries work together in a matrix structure.The Liquidity Management function are currently recruiting for an Encumbrance Policy and Strategy vacancy where the desired skill set centres on knowledge Read more […]
Internal Audit Manager, European Investment Bank, London recruitment
A highly renowned European Bank has a sought after opportunity in its Group Audit division for a highly motivated Audit individual at the manager level. This position sits within the Sales and Trading area, and will be front offices facing, being responsible for the trading and sales area of the CM business, whilst still getting great exposure to other areas including market risk management, finance and operations. The desired candidate will have a passion to thrive in a diversified environment, whilst being highly analytical and have proven front office and financial products experience. They Read more […]
Executive, ‘In House M&A’/ Corporate Development – FTSE company recruitment
Our client in a really successful FTSE business, in the consumer space. They are now looking to add an ‘in house’ MA professional to their team, to work on the execution of acqusitions for the business.The role will (1) support the Group Development Manager in the corporate finance activities of the Group(2) support the implementation of the Group’s strategy and objectives through effective implementation of business proposals and the management and execution of acquisitions and disposals(3) assist in the origination of potential acquisitions for the Group Responsibilities Read more […]
Financial Control Specialist recruitment
As a Sox and internal controls specialist you will be responsible for supporting the business and individual process/control owners to achieve sox and internal control compliance.This will involve the testing, change control and attestation and providing advice and training as necessary to the business for both BAU and ongoing projects.You will need to build strong relationships with the stakeholders and work with them through periods of change to ensure controls are controlled in an efficient and effective manner to minimise risk.You will be near to nearly qualified or qualified ACA/ACCA from Read more […]
Regulatory Reporting Assistant Manager recruitment
As part of the Group Treasury business unit, you will play an important role in the production of liquidity returns and reporting on associated controls to the FSA in line with Group requirements.In the role of Regulatory Reporting Assistant Manager, you shall be responsible for production and validation of:• Daily consolidated group FSA047 and FSA048 returns• Weekly consolidated FSA052 returns• Monthly and Quarterly FSA050, FSA051, FSA053 and FSA054 returnsIn addition to reporting duties, you shall also be responsible for monitoring and delivering remote centre liquidity returns against Read more […]
Business Analyst – Finance Change Trading Products – Leading Investment Bank recruitment
Business Analyst – Finance Change Trading Products – Leading Investment BankLondonHighly DesirableLeading Investment Bank is looking for a 1 AVP Business Analyst 1 VP Senior Business Analyst with a background in Product Control with a good working knowledge of a wide range of products and how they are accounted for and interact with Ledger systems. The team has responsibility for the delivery of a number of front to back and cross-functional programmes on behalf of Finance. The team has a mix of professional programme and project managers, business analysts, and subject matter experts. We Read more […]
ALM Analytics (AVP + VP) – Top Tier Bank recruitment
Role description:You will be a primary point of contact for the global and regional Asset Liability Managment (ALM) heads as well as business managers expected to provide them with accurate and meaningful reporting and analysis.Together with the global ALM Financial Director you will focus on establishing and enhancing risk, profit loss and balance sheet reporting as well as strengthening the control-environment. Key Responsibilities:• Conduct ad-hoc analysis and support forecasting of interest income• Establish and maintain interest/margin risk related reporting• Independent calculation Read more […]
