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Job Description
Structured overview of role & requirementsAbout This Role
Accountable for accurate and timely daily T+1 profit and loss (P&L) production, attribution, and variance analysis.
Resolve break investigations and model risk control exceptions, ensuring compliance with risk and control guidelines.
Manage stakeholder communication across Finance directors, Front Office traders, Risk management, and other teams to address queries and issues.
Minimum Requirements
Experience in Financial Control and Product Control within Investment Banking.
Strong knowledge of financial market products including Loans, Bonds, Credit, Derivatives, Cash Equity, Swaps, Options, and Futures.
Proficiency in Microsoft Office applications, especially Excel and Word; exposure to multiple front office systems.
Education preferably MBA or professional finance/accounting qualifications such as Chartered Accountant, CPA, ACCA, CIMA, or CFA.
Ideal Candidate Profile
Deep understanding of Fixed Income products like Bonds, CDS, TRS, IRS, and Loans within an investment banking front-to-back environment.
Demonstrated ability to analyse and explain complex trade flows, booking structures, and funding cost allocations.
Experience leveraging AI tools for productivity enhancement and workflow optimisation while ensuring ethical data use.
