This role is part of the Global Markets & Treasury Business Finance team in H.O. You will be responsible for leading a team and providing full range of product control services to the division .On a day-to-day basis you will be responsible for:
Stakeholder management - this involves developing / maintaining strong relationship with Global Markets & Treasury, Market / Credit Risk, Finance functions (BA, FR, Reg, Tax, other Business Finance streams), IT, Audit and Operations with objective of facilitating business support for the GMT division.
Maintenance of control / compliance framework - continuously enhancing control framework, ensuring compliance with IFRS, Regulatory, Internal Bank policies
Organization and further enhancement / optimization of product control activities such as: Daily desk level reporting, enhancing commentaries with market drivers, risk / PL attribution process, price testing activities, market conformity checks, stop loss limits, flash to actual PL analysis, resolving desk queries, IFRS 9 business model compliance checks, accounting classification checks, hedge accounting / effectiveness assessment processes, valuation adjustments, curve construction reviews, trade booking workflows, pre-trade rules in Calypso.
Automation activities - review existing reporting landscape and formulate automation program, levering off existing IT solutions (MSBI, OACS etc).
Closely working with foreign locations, to align service level to HO standards and cross train local finance functions
Support FPA stream with provision of detailed commentaries within BS and PL, forward projection estimation and any analytics required for Business.
Work closely with Treasury Middle Office on FX Risk transfer process, valuations from Calypso and Market data set up as these items impact reporting directly.
Motivate and develop team to enhance both technical and soft skills.
To be successful in this role, you will need the following skills and experience:Bachelors Degree with specialization in Finance / Accounting
Between 8-10 years of post-qualification experience in the Business Finance function covering Markets and Treasury products / segment
Should possess knowledge of Treasury products & transactions and have knowledge of relevant banking regulations.
Commercial acumen, an enquiring mind and an understanding of the market and financial dynamics would be a distinct advantage.
Strong written and oral communication skills and ability to interact at senior management levels.
Exposure and deep understanding of Treasury products, its lifecycle, accounting treatment, risk management and Front to Back interfaces.
Hedge accounting and IFRS 9 reporting
Managing and organizing team
Market / Credit / Capital risk management exposure
What we offer you:
Competitive salary package
Market-leading incentives
Strong emphasis on work-life balance and wellbeing across the bank
Preferential banking facilities for employees
Generous annual leave entitlement and Private Healthcare
World-class Learning & Development platform and career development
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