Vacancy Description
Roles and Responsibilities
--To ensure that the daily P & L is accurately reported in accordance with applicable policies post performing relevant controls.
--To ensure that the relevant P&L and Balance sheet positions are correctly reported at month end and issues/breaks identified are resolved before ledger close
--Ensuring that various critical reports owned by team are accurately produced post performing relevant controls.
--Providing commentary on P&L swings and variance investigation to desk/senior finance managers as required
-- Ensuring that adhoc queries from business managers and finance management are responded in timely manner post required analytical review
--To ensure that all defined controls are adhered to
--Proactively identifying control gaps and working towards closing gaps post relevant discussions with onshore stakeholders
--To keep local management as well as onshore stakeholders informed about recurring pro...
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