Senior Manager - Treasury Accounting & Reporting
- Niche role
- Fast paced growth
About Our Client
Our client is a Leading Investment Bank with operations in more than 60 countries worldwide. They are an esteemed brand within the global banking industry and always strive to recruit the best talent in the industry. With the current expansion in their global operations, they are looking for a seasoned finance professional.
Job Description
Reporting to the VP, you will be responsible for-
- Group & Corporate Treasury accounting & reporting
- Monitoring limits & Fair value
- Handle mid office and back office treasury functions like Trade Capture
- Liaise with Internal entities and External counterparties
- Experience of handling varied financial instruments including Money Markets (MM), Foreign Exchange (FX), Swaps (Equity, Fixed), Corporate Debt (CD), Options
- Product Control including daily, weekly, monthly accounting and P&L calculation. Middle Office Accounting & Financial Reporting
The Successful Applicant
You should be a qualified Chartered Accountant with 6+ years of experience with experience gained in the field of financial controllership. In addition, experience in Statutory Audits, Direct Stakeholder management is key. You should be open to working with teams in different geographies and across international business units.
What's On Offer
Great work culture and fast paced growth for the right candidate. Also report directly to Global leaders.
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