Job description
A highly regarded international banking and financial services organisation with a strong presence across EMEA. This Bank offers exposure to diverse products and complex financial reporting challenges. Based near Liverpool Street.
Description
• Own and maintain monthly revenue and profit reporting processes, ensuring data accuracy, consistency and control.
• Deliver financial and management reporting outputs, including performance analysis and senior management reporting.
• Investigate and resolve reconciliation issues, providing root-cause analysis and implementing corrective actions.
• Partner with stakeholders across Finance, Treasury and Front Office teams to provide guidance on revenue recognition, transaction booking and reporting treatment.
• Drive process improvements, automation initiatives and reporting enhancements to improve efficiency and strengthen controls.
• Support governance activities, maintain documentation and help ensure robust reporting and control frameworks are in place.
Profile
• Qualified or nearly qualified accountant with experience gained within banking or financial services.
• Strong understanding of management reporting, financial accounting and investment banking products.
• Experience investigating reconciliations, revenue reporting and working with complex financial data.
• Advanced analytical skills with strong knowledge of Excel and other data tools.
• Familiarity with accounting standards and the ability to assess the impact of technical accounting requirements.
• Proactive, solutions-focused communicator who can influence and engage stakeholders at all levels.
Job Offer
• Competitive salary and benefits package.
• Hybrid and flexible working arrangements.
• Private medical and wellbeing benefits.
• Access to learning, development and long-term career progression opportunities.
• Collaborative, inclusive environment within a growing international organisation.