A well known international banking organisation has an opportunity for Part Qualified Finance Analysts to join its growing Treasury Finance division. Based in the Canary Wharf.
A large international Banking organisation.
Working in the Treasury Finance team, your role will be to deliver regular P&L reporting, forecasting and planning for the Treasury area as well reporting on investments within the division to enable the management of risks and to aid financial decisions.
- Report and control of the P&L and Balance Sheet
- Weekly and Monthly MI reporting
- Identifying Risks and controls
- Forecasting and Planning
- Variance analyses
- Stakeholder management
You will ideally be working within the Banking or wider Financial services sector and have a strong financial control background. Ability to understand the bigger picture and be inquisitive.
You will be Part Qualified or near Qualified in ACA/ACCA or CIMA or possibly the CFA.
An interest or understanding of banking products advantageous.
Applicants from Big 4 or Mid Tier welcome.
Strong academic background.
Competitive salary and blue chip benefits.