





Tier-1 bank, metro location, and mid-level (4–6 years) increases candidate competition.
Role requires banking-specific accounting, hedge accounting and IAS expertise, limiting cross-industry transferability.
Explicit 4–6 years requirement plus professional qualifications and domain certifications increases screening strictness.
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Supervise timely production and review of daily P&L reporting for Europe region across multiple financial products including Money Market, Rates, FX, Government Bonds, and related hedges.
Monitor and ensure adherence to daily P&L and balance sheet controls, coordinating with Middle Office, IT, Operations, External Audit, and Finance to resolve issues.
Lead delivery of hedge accounting and control enhancement initiatives, review month-end reconciliations and balance sheet substantiation, and provide advice on booking models to front and middle office.
Qualifications: CA, MBA, CFA, FRM or ACCA.
Work Experience: 4-6 years in relevant domain.
Location: Bangalore, India; Office working required.
Not explicitly mentioned: Notice period, mandatory software skills, or regulatory constraints.
Experience operating in global markets with exposure to multiple asset classes like Rates, Credit, FX, and Money Markets.
Proven ability to manage cross-functional stakeholder relationships including Middle Office, IT, Operations, External Audit, and Finance functions.
Strong background in implementing financial controls, hedge accounting, and International Accounting Standards (IAS) compliance in a product control environment.