We are hiring for leading UK Based Bank. Please find below description:
Job Description:
- Review daily P&L, including understanding risk positions and market moves for P&L explanation, and review of flash vs formal differences.
- Engage in detailed discussion with traders and risk managers on risk positions and P&L.
- Ensure that the team's KPI and SLA are met.
- Attend to ad hoc queries from the traders and other infrastructure partners relating to trading revenue and Balance Sheet.
- Review key weekly & monthly MIS to senior management.
- Gain in-depth understanding of provisioning and price testing controls and processes, and review the month end working.
- Engage in detailed discussion with traders, risk managers and Independent Valuation Control team on the results. Liaise with valuation expert on modelling appropriateness and other technical/booking issues.
- Perform detailed review of month end adjustments, and Balance Sheet substantiation
- Qualified accountant / CIMA
- CFA / Masters in Finance / Financial Engineering would be an advantage
- In-depth knowledge of Financial product and markets of the relevant asset class
- Good understanding of end-to-end processes of an IB and associated controls
Shweta
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