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Tier-1 brand, metro location, and a mid-level generalist finance title increase applicant competition.
Requires banking product-control, IFRS and trade-flow expertise, limiting transferability across industries.
Specific financial-control, derivatives and product-control experience plus preferred CA/MBA/CFA make screening stringent.
Own daily and monthly production of Finance P&L, including attribution and variance analysis for Financing products like Loans, Bonds, and derivatives.
Ensure accurate financial reporting, ledger maintenance, manual journal entries, and compliance with control frameworks (FOBO, MAFA, Balance Sheet Substantiation).
Manage stakeholder queries and ensure trade flows and booking structures align with funding cost allocation and risk control guidelines.
Experience in Financial Control or Product Control for financing products and derivatives.
Strong understanding of financial markets products (Loans, Bonds, TRS) and ledger controls for Cash and Physical settlement.
Preferably qualified MBA, CA, or CFA.
Proficient in Microsoft Office (strong Excel and Word); IFRS/GAAP knowledge preferred; Work Experience Required: Not explicitly mentioned in the JD.
Experienced in front-to-back Investment Banking environment, especially trade capture through to balance sheet.
Capable of problem-solving through data analysis and variance investigation to support financial control activities.
Ability to effectively manage time, prioritize tasks, and communicate with finance directors, traders, and risk teams.