Description
Execution Business Controller
Leading bank in UK is urgently looking for an Execution Business Controller to join their Group Corporate Treasury (GTC) team based in London for an initial 6 months contract opportunity.
The ideal candidate will be a fully qualified accountant with expertise in P&L attribution and a detailed understanding of accounting standards for Fixed Income products.
The Group Corporate Treasury (GTC) is in the process of setting up a new desk that will have responsibility of hedging interest rate risk derived from group activities. The execution desk encompasses several different products including swaps, gilts, inflation and options.
Key Requirements:
- A detailed understanding of Rates Products including swaps, bonds, IR Options, futures, FRA's.
- Industry experience within financial markets.
- Understanding of derivatives pricing, P&L calculations and valuation variables.
- CIMA, ACA or CFA qualification.
- Strong interpersonal skills and relationship management for dealing with people at all levels, across all disciplines.
- Capability of working in fast paced, dynamic environment.
If you have the right skills and experience for the Execution Business Controller role, please apply now!
KEYWORDS: EXECUTION, BUSINESS, CONTROLLER, ACCOUNTANT, CORPORATE TREASURY, PROFIT & LOSS, P&L, ATTRIBUTION, Fixed Income, PRODUCTS, SWAPS, GILTS, INFLATION, OPTIONS, BONDS, CIMA, ACA, CFA, FINANCIAL MARKET, FINANCIAL SERVICES, BANKING, LONDON