Posted By
Posted in
Banking & Finance
Job Code
1187330
AVP - Financial Planning & Analysis - Treasury vertical
Risk and Control Objective:
Ensure that all activities and duties are carried out in full compliance with regulatory requirements, Enterprise Wide Risk Management Framework and internal Barclays Policies and Policy Standards.
Role Specification:
- This role is primarily responsible for Capital and Equity Structured Hedge reporting within Treasury Finance. This includes: monthly analysis and booking of the Capital P&L, operating associated controls, reconciliations and forecasting. Completing the Capital P&L review for the desk. In addition, the role will provide ad hoc support for wider team.
- The role-holder will need to understand the hierarchy of Barclays, acquire an in-depth knowledge of the allocation methodologies of the various income and cost streams and be able to advise, implement and explain the impacts of any changes to the income/charges over time.
What will you be doing?
- Prepare and report Capital P&L by Business areas
- Ability to understand key drivers of movements and provide commentary on variance
- Preparation & presentation of P&L Decks to the senior stakeholders
- Sound knowledge on Capital Structure of a bank and Basel guidelines
- Strong understanding of macro factors and its impact on Capital P&L
- Responsible for forecasting outlook of Capital P&L by Business areas within the Group
- Participate in Stress testing & MTP process
- Allocation of Treasury P&L to Clusters on prescribed methodology
- Support the Control and Governance for capital team, delivering documents for Audit review
- Provide Treasury Consultancy and Business Support for new transactions and Group Projects
- Act as the Subject Matter Expert providing help and guidance on complex processes.
- Apply technical knowledge and expertise to assess impact of change on processes and result
What we're looking for:
- Professional Accountancy qualification e.g. CA, MBA, CFA, CIMA, ACA, ACCA
- 7-12 years of experience in Banking/Financial Sector
- Exposure to Treasury products and functions will be an added advantage
- Excellent communication skills, able to present complex issues confidently to senior stakeholders
- Strong technical accounting ability, incl. ability to effectively communicate technical material to non-experts
- Good knowledge of SAP, treasury systems and excel
Skills that will help you in the role:
- High levels of accuracy and attention to detail
- Learning attitude striving for continuous improvement
- Action Oriented & Collaborative
- Problem Solver & Self-starter
- Techno-functional with focus on process improvement & innovation
- Control mindset
Where will you be working: Chennai
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Posted By
Posted in
Banking & Finance
Job Code
1187330