Responsibilities:
Perform daily and monthly reporting of Balance Sheet statements for respective businesses, including reconciliation, analytical review and driver analysis (with Macro analytic commentary)
Build strong working relationships with key customers and stakeholders including delivering daily/weekly/monthly/ad hoc requests to dates/times indicated and communicating well in advance where these cannot be met
Constantly review, challenge and develop Balance Sheet Reporting and Control methodologies, looking for automated solutions
Requirements:
strong knowledge of derivative financial instruments.
fluent English - written and spoken (daily contact with London).
experience in institution linked with capital markets.
advanced Excel skills (VBA preferred).
good understanding of control environment and requirements that need to be met for a control to be effective and efficient.
ability to multi-task, prioritise effectively and learn quickly
Benefits:
great work atmosphere
private medical healthcare
life insurance
sport card
language courses
development in international environment