





Tier-1 brand, mid-level generalist finance role, metro location, and 3–6 years drive high competition.
Requires specific trading settlements, margin and treasury experience, restricting cross-industry transferability.
Explicit 3–6 year requirement plus mandatory AP/AR/settlements and margin responsibilities increase screening strictness.
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Manage end-to-end settlements processing for Shell trading entities, including indexing and processing counterparty invoices.
Ensure timely and accurate OTC/IG derivative settlements, margin call reconciliations with credit teams, and resolution of open settlements and price issues.
Support monthly reporting, maintain controls compliance, update SOPs periodically, and monitor related accounting receivables/payables to meet period close deadlines.
3-6 years of relevant experience in accounts payable/receivable/general ledger domain or related roles.
Bachelor's or Postgraduate degree in accounting, finance, or related business field.
Willingness and ability to work UK/US business hours shifts (2 pm to 11 pm or 6 pm to 3 am), including extended shifts as required.
Strong accounting knowledge with attention to controls and experience working under stringent timelines.
Experience in fast-paced, dynamic, global trading or finance environment managing settlements and reconciliations.
Ability to work independently with minimal supervision, handle complexity and competing priorities effectively.
Effective communicator across cultures and teams, with a commercial mindset and expertise in accounts payable process flow.