





Tier 1 brand, mid-level finance generalist role in metro increases candidate competition.
Controllership, bank product knowledge, and settlement processes require domain-specific banking experience.
Explicit 6 years, CA/MBA requirement and controllership/SAP skills create strict shortlisting filters.
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Manage monthly consolidation of income statement and balance sheet for JPMorgan Chase.
Develop, maintain financial reports and schedules; control post-closing entries and consolidation adjustments.
Perform control procedures and support monthly financial Variance Analysis Report; collaborate with controllers and operations to ensure financial integrity and complete general ledger reconciliation.
Bachelor's degree in Accounting, Finance, or related business field; Chartered Accountant or MBA Finance or equivalent.
6 years of relevant work experience in financial control, controllership, or accounting domain.
Basic experience with financial consolidation and reporting systems (e.g., SAP interface).
Knowledge of industry standards and regulations under US GAAP and/or IFRS.
Experienced in financial consolidation, reporting systems, and general ledger processes within complex financial environments.
Able to collaborate effectively with business controllers and operations teams to ensure accuracy and compliance in financial reporting.
Familiarity or aptitude for transformation and visualization tools like Alteryx, Tableau, UI Path is advantageous for enhancing control and reporting processes.