Syndications (Equity and Fixed Income) and Treasury Finance :
- Treasury Finance coverage includes teams that cover Product Control, Hedge Accounting, funding allocations and FX sell-off
- Product controller for several Treasury desks in EMEA- Investment & Risk, Capital Market Issuances, Collateral Optimisation Unit, and Cash & Risk Management
- Syndicate PC teams manage Global flows with front-to-bank coverage of Bonds, Loans and Equities Syndicate within the Investment Bank
- Accountable for several finance and product control deliverables - P&L controls, balance sheet controls, and valuations
- Accountable for engagements with external auditors for all processes managed by my team.
- Oversight of the Daily P&L Reporting process - including reporting of Formal, Clean & Hypo P&L and associated controls.
- P&L explanation - including review of new activity and validation of risk based explain (the role provides exposure to derivative product knowledge, cross asset class and will incl. exposure to portfolio risk based modelling).
- Team management experience in a Product Control or similar environment
- Strong understanding of Financial Controls
- Good core understanding of derivative products and associated risks, ideally some exposure to more complex derivatives
- Strong analytical skills
- Strong inter-personal skills and evidence of working across teams and geographies to produce timely and accurate output
- Demonstrates challenge and escalates concerns where appropriate.
- Excellent communication skills
- Professional accountancy qualification or equivalent relevant experience
- Ability to prioritise effectively and see the macro picture
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