Description
I am currently recruiting for an interim Finance Manager for a large banking organisation in London.
The purpose of the role is as follows:
Develop P&L reporting process for corportate treasury desks and stakeholders
Establish and operate a daily P&L reporting process
Development of MI and analytics to substantiate daily P&L movements
Liaison with relevant business areas within corporate treasure to ensure daily P&L is understood and agreed
Role requires an in-depth knowledge of banking products and impact on P&L.
The client requires candidates with:
Qualified accountant or relative experience in a similar role (Interest rate and FX environment)
Good knowledge of banking products and the accounting of financial instruments
Intermediate/Advanced Excel
An aptitude and willingness to learn IT and business processes
Experience of dealing with stakeholders
The length of contract is 6 months and the pay rate is from £ per day. Please send your CV immediately for consideration.