Posted By
Posted in
Banking & Finance
Job Code
1598125

Responsibilities
- Production and reporting of daily P&L to Front Office & Senior Management
- Reconcile actual P&L with trader estimates and provide flash/actual variance analysis
- Working closely with the trading desks on position, P&L or other issues on an ad-hoc basis
- Front-to-Back analysis & reconciliations of front office PnL and balance sheet to firm sub-ledgers
- Assist with execution of month-end controls ensuring management vs financial P&L variances are within thresholds
- Analyze traders' risk positions and understand and apply the Greeks (Delta, Vega Gamma) vs daily market moves
- Liaise with various business partners such as Technology, Market Risk, Credit Risk, Operations and Finance to resolve issues / queries
- Development & continuous improvement of existing processes & workflow
- Testing / UAT for systems work ranging from minor system releases to major system implementations
- Remediation of issues in an autonomous yet timely manner considering the principles of control and the need to mitigate operational risk
Requirements
Education
- Qualified Chartered Accountant/CPA /CFA / MBA from Tier I/II institute
Certifications If Any:
- CFA / FRM certified candidates would be preferred
- Advanced education and/or enhanced technical qualifications are a plus
- Ability to use Access or VBA would enhance the candidate's attractiveness significantly
Certifications If Any:
Experience Range
- 4 to 7 years
Foundational skills
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Posted By
Posted in
Banking & Finance
Job Code
1598125