Manager, Financial Control recruitment
Key Responsibilities:- Taking an active role in the production of Financial Control KPI reports- Improve reporting of monthly close status by sourcing / developing close metrics- Assist in monthly Balance Sheet reviews of different clusters- Assist in the resolution of any year end / quarterly reporting issues identified through reporting processes, summaries of unadjusted differences, audit points or risks identified by the Business Units and Head Financial Controller- Perform review of risk areas which are inconsistent across business units or non compliant with IFRS- Assist with ad-hoc projects Read more […]
Manager, Financial Control recruitment
The Financial Control function is responsible for the integrity of the Group’s general ledgers, statutory and management reporting and preparation of budgets and forecasts. The purpose of this opening will be to support the Central Regulatory Reporting Function with all information relating to GCT liquidity data set. Responsibilities of the role will include: •Review the GCT movements on a daily basis for EMR reporting and to ensure that sufficient commentary is available to explain these movements. •Review and provide sufficient detail for sign off of the daily GCT Summit data set. •Prepare Read more […]
Senior Finance Analyst, Financial Control recruitment
The RBS Retail Financial Control team is responsible for end to end financial control for the Retail business which encompasses Personal Cards, Current Accounts, Mortgages, Loans, and Savings Investments products. As Senior Finance Analyst you will be responsible for delivering high quality outputs to our customers whilst maintaining strong control of the profit and loss account and balance sheet, with a particular focus on the branch divestment project.The ability to build and develop relationships with a variety of stakeholders, specifically Decision Support, and other areas of Group Financial Read more […]
Financial Control recruitment
Month end Close• Perform, review and substantiate the balance sheet in an analytical manner by gaining an in-depth understanding of accounting and provisioning, and review month end calculations and reconciliation.• Conduct monthly balance sheet review meeting with managers and control teamMIS reporting• Review the weekly and monthly MIS packs and commentary submission to regional and global management as well as handle ad-hoc management request for various management reports.• Handle ad-hoc management request for various management reportsProcess Efficiency• Identifying activities/tasks Read more […]