Description
Senior Manager needed for a leading banking organisation to identify, document and test bespoke micro hedge accounting packages and manage macro models. The role is responsible for developing existing processes and the control environment, monthly production of MI and analytics to assess various hedging relationships and the organisation's residual income statement volatility.
The ideal candidate will have the following essential experience:
An in depth knowledge of banking products and impact on banking volatility.
Daily IFRS profit and loss account creation
IAS39 compliance
Hedge accounting
If you are interested in learning more about this position or would like to apply please send your most recent CV and a few bullets detailing how your experience relates to the above.