AVP, Business Finance, Group Financial Market/Treasury
Salary undisclosed
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- Develop, enhance and maintain accounting flow/schema for Treasury product, instrument & business strategies.
- Work with front office (dealers and product development team), back office, other support functions and treasury system vendor (Murex) to test the workability of the accounting flow.
- Monitor GFM’s monthly balance sheet & P&L, investigate and work with front and back office, other support functions as well as system vendor to correct accounting error identified.
- Advise back office on Treasury related accounting entries and adjustments whenever necessary.
- Perform monthly system reconciliation (SAP GL vs Murex vs Dealer’s Reports), investigate if major discrepancies noted.
- Prepare GFM’s desk performance report on monthly basis.
- Attend to ad-hoc finance related queries/projects from/in collaborate with internal and external parties from time to time.
- Assist the team lead in financial analysis, monthly forecasting and year end budgeting process whenever necessary.
Job Requirements
- Professional Qualification or Degree in Accounting & Finance or related field.
- At least 5 years of working experience in accounting or business finance function; with exposure in management reporting, financial analysis and business planning.
- Knowledge/experience in bank operations, Treasury product and Murex system will be an added advantage.
- Good communication and interpersonal skills coupled with strong logical and analytical
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