The UK Debt Management Office, situated in the heart of the City's financial markets, is recruiting a fantastic opportunity for an experienced Head of Finance. This is an interesting and unique opportunity for an experienced and self-starting finance professional to work for a high-profile government body, specialising in the financial markets sector. The UK Debt Management Office (UK DMO) operates...
Key Responsibilities: Central Processes -Management of funding across the region including external bank account relationships. -Management of Group FX policy for entities across Europe. -Oversight of Global Financial Services team processes including Fixed Asset accounting, cross border interest and recoveries methodology for central finance. -Responsible for the coordination and preparation of a range of tax accounting requirements (for example, withholding...
Finance Manager London - £350-£400 per day. A leading investment bank, who specialises in providing a wide range of structured solutions across all areas of risk management including FX, interest and credit and inflation, requires a Finance Manager. Core responsibilities for the role will include: The management of finance ledger controls and processing; this comprises daily, monthly, semi-annual and annual...
Unique Insurance company seek a Derivatives Manager to join a small Finance team in a growing company. Reporting to Financial Controller responsibilities include supervising the recording and confirmation of liability derivatives trades. Provide support to those who transact derivatives. Controlling the settlement of maturing liability derivatives. Resolving derivative valuation issues. Producing management information on derivatives. Investigating issues on the derivatives...
A key member of the Front Office team in a Global Treasury function based in London. The Global Treasury function is embarking on a programme of change to further consolidate global treasury activities and continue to push towards leading practice in core treasury areas. The role will play an important part in this transition and beyond through: Enhancing and managing...
A Product Control AD is required for the Equity Derivatives area of a leading investment bank that provides a products and services to institutions, corporations, governments and high net worth clients around the world. The ultimate purpose of the product controller will be to provide an effective link between front office and financial control requiring detailed product knowledge, so that...
A Product Control AD is required for the Equity Derivatives area of a leading investment bank that provides a products and services to institutions, corporations, governments and high net worth clients around the world. The ultimate purpose of the product controller will be to provide an effective link between front office and financial control requiring detailed product knowledge, so that...
A Top Tier Investment Bank based in the City require a Financial Controller to join their Global Credit Trading area due to rapid growth. The Credit trading area of this Investment Bank is currently it's fastest growing product line with huge revenue and staff growth expected due to the continual development and marketing of new product lines by Front Office....
Our client who is a major European Investment Bank is seeking an experienced Financial IT Business Analyst to implement the Accounting Rules Engine. The Finance IT department serves the Finance and Product Control business functions across the organisation. It has a significant presence in all major sites and comprises and is responsible for the development and support of several high...
My client is an international investment bank looking for a Senior Manager for the Group Treasury. This is a multi disciplinary role within a low transaction, high complexity environment. As such, it encompasses aspects of Product Control, Financial Control and Financial Decision Support / Business Finance. The role has been deliberately designed to create a degree of overlap of responsibilities...
A tier one investment bank is looking to recruit a Senior Product Controller. The ideal candidate will preferably have Equities and FX product experience. ACA/ACCA qualified is essential. You will be working closely with the front office and primary support partners including operations, technology and risk management You would also be responsible for substantiating and controlling the daily balance sheet...
An excellent opportunity has become available with an investment bank. Key Responsibilities Include: Export and Import L/C Payments - Inputting/check for funds/claim reimbursement MT742, MT754 * All aspects of Inward and Outgoing Documentary Collection * Processing Secondary Market / Bills Discounted * Processing Guarantees * Maturity reports * Archiving * L/C Document checking - 1st or 2nd checking within given...
Blue Chip Commodities Trading Company based in Canary Wharf, London. Due to continued expansion we are now looking for a Product Control Analyst to join their Gas Product Control team. You don`t need to have product control experience to apply for this role; you must have an accountancy qualification and worked in audit in Top 4 firm or have worked...
Financial Recruitment Consultant Working with a boutique consultancy who specalise in Equities, fixed income. treasury FX/MM, futures and options and swaps. Our clients are looking for a Financial Front Office Recruitment Consultant with experience from the Financial services recruitment sector. This is an excellent opportunity to join a very successful and respected company, with the opportunity to grow and progress...
This Global Wholesale Bank urgently requires a Senior Business Analyst to join the Finance Technology projects team in order to work on initiatives surrounding the Accounting Rules and Sub-ledger piece. This BA will ideally have strong working knowledge around accounting for product control or financial control within IB and progressed into an IT business analysis and/or project management role. They...
My client is an international investment bank looking for a Senior Manager for the Group Treasury. This is a multi disciplinary role within a low transaction, high complexity environment. As such, it encompasses aspects of Product Control, Financial Control and Financial Decision Support / Business Finance. The role has been deliberately designed to create a degree of overlap of responsibilities...
The team is responsible for all aspects of the credit management of the banks European banking counterparties. They assist in the management of all aspects of the credit relationship for a portfolio of banks across Europe Responsibilities: * Preparing counterparty analysis for the annual renewal process in addition to transactional approvals, for which a familiarity with traded products (some or...
Blue Chip Commodities Trading House based in Central London now looking for an Operational Energy Market Risk Senior Analyst for their Operations & Market Risk Control team. The main purpose of the job is to assess, monitor, analyses and report operational energy market risk associated with our activities related to generation, optimisation, sourcing and supply. Reporting to the Operational and...
TRADING ACCOUNTING SUPERVISOR This position is within a Finance department of 25. The job holder must demonstrate an ability to work in a demanding and evolving commodity trading environment and be able to manage multiple working relationships with staff from the Trading floor, Back Office and Finance departments. Accountabilities: The purpose of the role is to provide supervision and leadership...
A key role in the treasury team providing analysis and support on bank account management and key Treasury metrics. Responsibility for managing all trade and documentation around bank guarantees and letters of credit. The role supports the front office activity of daily cash management and foreign exchange activity and supports the Group's bank relationship management. Maintaining accurate records of the...
Blue Chip Commodities Trading House based in Central London now looking for an Operational Energy Market Risk Analyst for their Operations & Market Risk Control team. The main purpose of the job is to assess, monitor, analyses and report operational energy market risk associated with our activities related to generation, optimisation, sourcing and supply. Reporting to the Risk Manager, your...
The Senior Management Accountant will be a qualified accountant with up to three years experience post qualification with an audit and/or accounting background for small and medium sized enterprises, preferably in a physical trading or manufacturing environment. She/he will be part of ATL's London based accounting & reporting team, responsible for the preparation of statutory and management accounts for UK...
Assist in the preparation of all Revenue/Margin reporting for all European businesses. Complete Purchase Price Variance calculations and review with brands on a period by period basis. Calculate stock valuations at standard rates along with Stock write offs, review with brands and post any adjustments required. Calculate and post monthly Royalty calculations Complete monthly PPV and FX analysis reports and...
TRADING ACCOUNTING SUPERVISOR This position is within a Finance department of 25. The job holder must demonstrate an ability to work in a demanding and evolving commodity trading environment and be able to manage multiple working relationships with staff from the Trading floor, Back Office and Finance departments. Accountabilities: The purpose of the role is to provide supervision and leadership...
Director FX Finance Project Manager - Finance Transformation London Highly Desirable Leading City based Investment Bank is looking to hire a senior Project Manager to lead delivery of the strategic FX Management project. You will be responsible for implementing the FX Management strategy, will work closely with the solution Lead, multiple stakeholders and technology groups. Would posses a solid investment...
A major global bank is recruiting multiple candidates for their Global Markets Audit team. Candidates can come from an audit, product control, accounting, risk management or even front office background. However, it is essential that candidates have strong knowledge of investment banking sales and trading products, e.g. commodities, equities, credit trading, rates, FX, derivatives, market and credit risk. The successful...
This Leading Global Financial Services business is looking to recruit a product Control with FX product knowledge. The team is responsible for the day-to-day control of the business acting as one of the principal day-to-day face-offs through daily reporting (financial resources, risk and P&L) and are expected to display attention to detail and problem solving skills in relation to the...