Description
My Financial Services client based in London requires a Finance Senior Analyst to assist a key change programme.
Essential Skills:
- Bank treasury/Corporate Treasury experience.
- Good knowledge of IFRS, and IAS 39 (including hedge accounting).
- Qualified Accountant
- Strong understanding of Derivative products (notably Interest Rate Swaps) - what the product is/what it's used for.
- Interest rate Risk Management and Hedge Accounting
Skills:
- Involvement with cash and trade management (from an accounting perspective)
- Daily review and analysis of P&L processes and balance sheet controls, including overview of Group Treasury derivative trading activities
- Daily and month-end accounting responsibilities, including reconciliation and substantiation processes, balance sheet review and analysis, report preparation for key stakeholders.
Rate: £450
Contract: 3 months Initial
Start Date: ASAP
Location: London
If you feel this role is a good match for your skill sets then please submit your CV detailing your current availability and location etc. Many thanks.