Treasury Product Controller (Full time/Part Time) at Close Brothers
London EC2A 4FT, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

17 Aug, 25

Salary

0.0

Posted On

17 May, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Financial Services

Description

OVERALL SUMMARY

At Close Brothers we look to recruit individuals from all different backgrounds and encourage you to apply even if you don’t tick every box. We celebrate diversity, promote inclusivity and are open to discuss flexible work options to help you balance your work and home life.
Join Close Brothers Treasury Team where you will work closely with Treasury front office and be responsible for controlling and reporting on the transactions that they undertake, taking ownership of the daily control processes including Daily risk and limit reporting, price verification and profit and loss reporting.

IT IS NOT ESSENTIAL BUT IT WOULD BE GREAT IF YOU:

  • Qualified or part qualified accountant
  • An understanding of Treasury operations and of the key drivers of value within the business
  • Previous experience working in banking finance
  • Experience with SAP general ledger
  • Experience with Bloomberg
  • Experience with FIS - Quantum Treasury management system
    We are an inclusive organisation and committed to ensuring our recruitment process is as accessible as possible to everyone. We will make adjustments for people who have a disability or long-term condition. If you need the job description or application form in an alternative format or would like to discuss the recruitment process with us, please email us at recruit.ssc@closebrothers.com or request a call back.

ABOUT US

At Close Brothers we support employees to balance their work life priorities and in this role you will be able to enjoy a mixture of hybrid working.
Close Brothers is a leading UK merchant banking group providing lending, deposit taking and securities trading. We employ approximately 3,000 people, principally in the United Kingdom and Ireland. Close Brothers Group plc is listed on the London Stock Exchange and is a constituent of the FTSE 250.
To find out more about Close Brothers, please visit our careers page: https://www.closebrothers.com/careers

Responsibilities

MONTHLY RESPONSIBILITIES

  • Maintaining the Treasury Finance derivative portfolio including valuation checks to counterparty statements and reconciliation to the financial statements.
  • Maintenance of the Treasury Finance Security portfolios including preparation of monthly balance sheet reconciliations
  • Preparing the daily P&L Report, explaining movements, and reconciling to the financial statement.
  • Assisting the Finance team to perform the monthly close process, ensuring that relevant controls operate effectively and that all variances are adequately explained.

QUARTERLY / SEMI ANNUAL RESPONSIBILITIES

  • Provide information for the completion of the Financial Statements, explaining period movements where required.
  • Assist the team in completing a clean audit.
  • Provide information for the quarterly FINREP return.
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