Posted By
Posted in
Banking & Finance
Job Code
443836
To ensure that the daily P & L is accurately reported to the FO & reconciled between P & L tools & management reporting tools.
To ensure that the relevant P&L and Balance sheet positions are correctly reported at month ends and that the applicable reconciliations have been completed and all issues identified/resolved.
Providing daily commentary on P&L swings and variance investigation to Front office traders and senior finance managers
To ensure that the controls are adhered to.
To coordinate the completion and delivery of the tasks allocated to the team.
To provide advice to the business on the P&L impact of trades and the interaction of the Front and Back Office systems, especially regarding trades and proposed new workflows.
To ensure that applicable accounting standards are adhered to regarding P&L and Balance Sheet reporting.
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Posted By
Posted in
Banking & Finance
Job Code
443836