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Financial Reporting Manager

£60000 - £70000 per annum

Financial Reporting Manager

Responsibilities:

  • Statutory accounts for entities + interact with auditors, providing relevant information in a timely fashion
  • Review reconciliations for relevant entities to ensure they are carried out & escalate concerns to leadership
  • Ensure financial reporting controls are maintained + actively look to improve them. Furthermore, assist related teams (tax, product control, regulatory) to uphold the overall control framework
  • Assist with budgeting / regulatory reporting + respond to queries from the board / leadership team
  • Develop models alongside treasury using the client’s ILAA. Also assist treasury with the management of the client’s FX situation.
  • Organise the liquidation of entities that no longer hold relevance
  • Observe the journal posting report + resolve an unposted journals on a daily basis
  • Managing + developing Junior Accountant

Desired Skills

  • Experience of Legal Entity Accounting
  • Accountancy qualification with 2-3 years PQE within the Financial Services
  • Good academics
  • Complex accounting knowledge (consolidated accounting, impairments, minority interest accounting)
  • Knowledge of UK GAAP, US GAAP and IFRS
  • Experience of:
  • Oracle General Ledger
  • Hyperion Essbase
  • Oracle HFM

McGregor Boyall is an equal opportunity employer and do not discriminate on any grounds.

 

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This job has now been filled but you may be interested in:

 

Senior Manager

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Up to £60000 per annum

Our client is a leader in high value businesses around the world, providing essential accounting and operational support at high levels and would therefore require someone who is comfortable liaising with senior stakeholders on a daily basis.
You would be joining a collaborative and energetic office of 40 staff, and would be working closely with the Partners of the firm. As such our client promotes this is a lifestyle business where a work-life balance is highly encouraged with the office closing at 5.30pm and a full hour lunch break being mandatory. The business is growing constantly and wants someone who will help in their long term growth plan.

What the role involves

  • Creating networks to bring in new clients
  • Building close relationships with clients and acting as the point of contact for them
  • Getting very involved in the business and client work at a granular level and leading by example to the team
  • Weekly departmental meetings and meeting with your Manager
  • Managing new client work, agreeing deadlines, negotiating fees, working out budgets
  • Working closely with the team
  • Working on projects for clients


Skills

  • Qualified Accountant (ACCA, ACA, etc)
  • A hunger to be involved in the business and progress to Partner level
  • Ideally has experience in a Practice environment but this is not a necessity
  • Commercial experience where you have helped on pitches to win business


Please note that all interviews will take place over video calls

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New Issuance - Primary Market Settlement Specialist

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Negotiable

Key Responsibilities:

  • To support the Capital Markets, Syndications & Treasury Markets Businesses related to issuance activity & structured deals
  • Support all Treasury Markets new CD and CP issuances
  • Design & implement robust life cycle operational processes, flows & controls, including trade bookings, processing, settlements & reconciliations
  • To bring the transaction operations to life – liaising with & closely supporting the sales & syndicate desks with bookings via relevant terminals such as; Bloomberg / Clearstream / Eurostream
  • Oversee trade bookings throughout the entire trade life cycle and be comfortable raising term sheets once validated
  • Lead analysis of existing trade control processes and implement new front to back processes as required by the introduction of new trading entities, products and systems.

Key Skills:

  • Solid Capital Markets / Primary Markets exposure
  • Strong Bond knowledge and general financial market product understanding (swaps, derivatives)
  • Cradle to grave exposure of delivering New Bond Issuances / putting Term Sheets together & Settlement ‘mechanics’
  • Detailed product and Settlement knowledge
  • To bring the transaction operations to life liaising closely with the sales & syndicate desks to support them with bookings via Bloomberg / Clearstream / Eurostream
  • Strong understanding and experience of Trade Flow, from trade execution to downstream systems.

This is a high-profile role for someone looking to gain excellent visibility to senior stakeholders and subsequently project their career within one of the leading Investment Banks.

McGregor Boyall is an equal opportunity employer and do not discriminate on any grounds.