Responsibilities
The team provides MIS and financial control support in equity and debt issuance initiatives, strategic equity investment and structural foreign currency exposure of the Group. Ensure key activities / strategies carried out in Corporate Account are in line with Group ALCO approvals. Provide MIS support for management decision making.
The key responsibilities of the role include :
- Prepare and analyze Group Corporate Account MIS P&L and balance sheet, forecast and budget
- Strengthen controls around structural foreign currency exposure and hedging transactions of the Group
- Monitor capital raising, funding and hedging transactions executed for the Corporate Account
- Actively look to automate processes and drive system enhancements
- Implement procedures and internal controls
- Provide Business Finance support to Corporate Treasury and Corporate Development Equities
Requirements
Accountancy graduate or Business / Finance graduate with strong accounting academic background.Minimum 1-2 years' work experience preferably in banks / financial institutions, or big 4 CPA firmsKnowledge of banking and treasury productsWork experience in financial reporting or product control is a plusProficient in MS Office applicationsExperience with Python / SQL / TableauAbility to work within a team environment as well as autonomouslyMeticulous with a hands-on approachGood analytical andmunication skillAble to work in ambiguous situations and adapt well to changesApply Now
We offer apetitive salary and benefits package and the professional advantages of a dynamic environment that supports your development and recognises your achievements.
Job ID WD74914