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|Type||Temporary / Interim|
A top tier American UK Investment bank is looking for a bright, driven professional to join their EMEA Treasury Finance Team. This is a fantastic opportunity to partner a market leading treasury function, with potential to grow and develop in this area.
Automation of the accounting classification processes.
Implementation of the new GL and BREXIT strategy.
Management of the FX risk reporting.
Treasury balance sheet reconciliations.
Maintain SOX maps and related controls.
Month-end close related activities and reporting.
Skills & Qualifications
Qualified accountant with treasury related product activity.
Strong understanding of trade slows and system architecture and accessing data from general ledger and sub-ledger systems.
Excellent communication skills to be able to face off to our Treasury funding desk on technical matters, and to be a credible advisor and partner to our middle office, Corporate Treasury (US) and Technology Development functions.
Skilled usage of Excel.
Project Management skills.
If this role sounds of interest to you, please apply now!
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