Our partner in the Investment Banking field is looking for a new colleague in the Banking Financial Controller position.
Pozíció leírása / Job description- Own and monitor the global Balance Sheet file for Equity and Bond Underwriting, and M&A. Compile and share daily updates with regional teams, gather commentary, and track aged items.
- Monitor and clear incoming cash accounts for Bond and Equity Underwriting.
- Conduct Month-End and Quarter-End reconciliations between the product processor and ledger.
- Implement digital tools to improve data extraction, aging, and commentary processes.
- Reconcile and monitor intercompany transactions, resolve breaks, and establish a process to prevent future issues.
- Support teams with reconciliation investigations between IBSL, SDPP, and FFS.
- A Bachelor's degree is required, with a preference for degrees in Finance and/or Accounting.
- An advanced degree, Professional Accounting qualification, or CFA certification is highly desirable.
- A minimum of 3 years of relevant business experience is required.
- Experience in Financial Control, Internal Control, or Audit is preferred but not mandatory.
- Strong understanding of accounting principles is essential.
- Must be skilled at analyzing large datasets to identify anomalies and trace the source of discrepancies.
- Unique opportunity to gain strong technical knowledge of a full range of investment banking products.
- Opportunity to participate in process reengineering and digitization
- Flexible work arrangements in an organization that acknowledges life - work balance
- Career management and mentoring by senior colleagues and leaders
- Opportunity for participation in managerial development initiatives
- Inclusive and friendly corporate culture where gender diversity and equality is widely recognized
- A socially active team and communities with diverse networking opportunities
- A supportive workplace for professionals returning to the office from childcare leave
- Competitive compensation package