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Line of Business Control - contract

Randstad Perm Professionals
Posted 6 hours ago, valid for 4 days
Location

London, Greater London EC1R 0WX

Contract type

Full Time

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Sonic Summary

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  • The role involves close collaboration with the Fixed Income & Currencies trading desk, Product Control, and Operations to ensure financial integrity and effective controls.
  • Candidates must have at least 3 years of post-qualification experience (PQE) in banking and financial services, specifically in Financial Control, Product Control, or Legal Entity Control.
  • A qualified ACCA/ACA/CIMA with an undergraduate degree in quantitative fields is required, along with strong IT skills, particularly in advanced Excel.
  • The position includes responsibilities such as month-end reconciliations, risk assessments, and regulatory disclosures, contributing to the overall financial reporting process.
  • Salary details are not explicitly mentioned, but candidates are encouraged to apply regardless of age or background, with merit-based appointments.

PRIMARY RESPONSIBILITIES

* To work closely with the Fixed Income & Currencies (FIC) trading desk, Product Control andOperations to develop a deep understanding of the underlying business to ensure appropriate controlsand reconciliations are in place that will assure the integrity of the Financial Statements anddisclosures and successful period end close.* Maintain strong control environment by coordinating quarterly risk control self-assessments toevaluate end to end controls within assigned lines of business and production of Risk Dashboardcontrol environment pack, including 2nd level review of monthly Product Control and Operations SODpacks, account attestation and eDR derivatives reporting sign off.* Coordinate successful month end close for assigned lines of business including analytical review ofbusiness specific Revenue and Balance Sheet lines with high quality MoM QoQ YoY variancecommentaries for review by Head of LOB and Head of Financial Reporting teams.* Monitor balances in key control & suspense accounts, sub-ledger to main ledger (REC01) breaks,illogical spot and average Balance Sheet accounts, Revenue misallocation, and work closely with PCand Operations teams to have these resolved within the period end close* Perform month end Balance Sheet reconciliations and attestations for key products in support of HOreporting and financial statements disclosures liaising with Product Control and Operations (BCS)teams to investigate and clear breaks under their ownership.* Complete monthly second level review of PC and Operations (BCS) owned month end Standard ofDocumentation (SODs) packs. Prepare summarised SOD scorecard for inclusion in AttestationCommittee packs.* Review and arrange intergroup transfer pricing ledger postings, reconciliations, and wiresettlements.* Coordinate preparation of monthly and quarterly Head Office returns, financial statements,regulatory and statutory disclosures impacting the business.* Review and sign off new business units (transits), trading books and account mappings requests forassigned lines of business within the general ledger and sub-ledgers.

* Assist in preparation of annual financial statements disclosures in accordance with IFRS standards.* Perform and update SOX controls under FC's ownership working with both internal and externalauditors. on interim and year end statutory audit, as well as SoX audit.* Assist with the new business initiatives (NBC), tactical enhancements and strategic projects withinassigned businesses to ensure Financial Control requirements are met that will enable the IFRScompliant accounting. Contribute to the design, development and enhancement of systems, processesand reporting to achieve best practice targets and add value to reporting.* Assist with production of deep dive packs and training materials working with a line management inidentifying training needs (products, processes, systems or accounting), both within Finance teams andother functions, and working towards eliminating these by completing training as required.

Required

* Qualified ACCA/ACA/CIMA with undergraduate degree in quantitative fields* At least 3yr PQE with majority of work experience gained in banking and financial services inFinancial Control, Product Control or Legal Entity Control role.

* The incumbent should have solid knowledge of the accounting treatment of investment bankingproducts and financial instruments.* Solid understand of the control framework.* Strong IT skills, and in particular advanced Excel is essential.

Randstad Financial & Professional encourage applications from individuals of all ages & backgrounds. Appointment will be made on merit alone but candidates must be able to demonstrate their ability to work in the UK. Randstad Financial & Professional acts as an employment agency for permanent recruitment & an employment business for temporary recruitment as defined by the Conduct of Employment Agencies & Employment Business Regulations 2003

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In order to submit this application, a Reed account will be created for you. As such, in addition to applying for this job, you will be signed up to all Reed’s services as part of the process. By submitting this application, you agree to Reed’s Terms and Conditions and acknowledge that your personal data will be transferred to Reed and processed by them in accordance with their Privacy Policy.