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Business Finance Officer- Rates & FX, Greater London

WH Marks Sattin - Banking
  • UK - London - Greater London
  • 51000-70000 Per Annum
  • Full-Time Permanent
  • Banking - Investment Banking
  • Marks Sattin
  • 10-07-08

Job Description

Leading American Bank requires an FX Product Accountant Investment Banking. The Banks Global Foreign Exchange is one of the leading providers of sales and trading services encompassing the full spectrum of foreign exchange products (including spot/forward FX, vanilla FX options and exotic FX options) in addition to offering a wide range of risk management solutions to both private and institutional investor clients worldwide. GFX Snapshot: ? GFX Business comprises 150 sales/trading professionals globally ? Core Locations: New York, London, Tokyo, Singapore and Hong Kong. ? Core Businesses: Spot FX, STIRT, Options, Retail, Strategic and Prime Brokerage ? Core Products: Spot FX, Forward FX, Financial Futures, Vanilla FX Options, FX Warrants, Exotic FX Options, Structured FX Notes and Deposits GFX Business Finance is part of the CFO Business Finance Organization. It is responsible for trade capture, trade verification/confirmation/settlement, trade reconciliation, financial accounting, financial management reporting and regulatory reporting ensuring that the GFX business operates in a disciplined and efficient environment and that the revenues of the business are accurately and fairly stated. GFX Business Finance currently comprises 85 finance and operations professionals in 5 regions working in tandem with our business partners. KEY RESPONSIBILITIES ? P&L production and reporting for FX Spot, Forwards, Exotic and SWAPs trading books ? Supervision of end of day price feeds ? A complete front to back office systems reconciliation at Month End. ? Reserve calculation and posting ? Running P&L Explain ? Balance sheet sign off ? New deal analysis (exotics) ? Inventory reporting ? Daily Cash Reconciliation Who we're looking for Essential: Product Knowledge Intermediate Demonstrable working knowledge ofFX products. Spreadsheet Skills Intermediate Use pivot tables, write formulas, understand macros. Desirable: Options Intermediate Understanding of Vanilla and Exotic options About our client Top Tier International Investment Bank What's on offer Market rate Please apply quoting csm104154
  • Banking
  • CSM104154
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