Our client is a leading global banking group headquartered in London, known for its commitment to employee wellbeing and work-life balance. The firm offers a collaborative and inclusive culture, with a hybrid working model (3 days in the office per week).
Description
* Preparation of monthly performance data including updates, consistency checks and reconciliations within the EMEA Region.
* Production of Financial and Management Accounting Reports and Analysis for both EMEA and Head Office
* Analyse P&L to ensure completeness versus GL and accurate allocation between front office departments, Treasury and Planning.
* Discuss with and advise relevant stakeholders regarding the treatment and booking of transactions.
* Reporting allocations and other variance observations.
* Review of reporting to identify and investigate any reporting risks and inefficiencies.
* Liaise with Head Office departments and accounting teams of the overseas branches world-wide to guide and support them with regards to EMEA transactions.
* Provide analysis of monthly income for management including production of commentary, tables and charts as required.
* Identify potential sources of risk, investigating them thoroughly and taking appropriate action.
Profile
The ideal candidate will be / have:
* ACA, ACCA or CIMA Qualified
* Ideally 5 + years experience
* Management Accounting / Revenue Accounting experience
* Able to analyse complex financial data and provide actionable insights
* Track record of Implementation of Process Improvements
* Power BI and / or Alteryx experience - desirable
* Banking or Financial Services sector experience - desirable
* Good knowledge of accounting principles and regulatory requirements
* Excellent organisational and time-management skills.
Job Offer
* Competitive salary and bonus
* Comprehensive benefits package
* Hybrid working - 3 days in office per week
* Opportunities for professional development and career growth.
* A collaborative and professional work environment.