- Ownership of the intercompany reporting process for an allocated business area (eg. Fixed Income or Equities)
- Reconciliations production for complex relationships (for instance deriviatives reconciliations)
- Management of 2 to 3 analysts including objectives setting and appraisals
- Management of item at risks for relevant area in line with senior management’s expectations
- Review of intercompany schedules to be included in Letter of Representation meeting
- Review of Financial Statement Line Items and Quality Assurance Review reconciliations for reporting periods
- Support tactical and strategic intercompany related projects
- Drive resolution of mimsatches root causes through engagemnent with colleagues in Finance, Operations and Front Office
- Contribute towards building a client service and controls driven culture in the team. Actively encourage innovative thinking and nurture ideas directed towards problem-solving and efficiencies
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