The role is based in Bangalore and reports to AVP of respective asset class. The Product Control team supports the different asset class like Rates, Credit, FX and GT Business on a global basis.
The individual will be responsible for:
• Supervise the timely production of daily P&L reporting across the Europe region. The main products controlled are Money Market Loans & Deposits, Rates (Bonds/SWAP), FX Products, Government Bonds & T-Bills, Fixed Deposits, Certificates of Deposits, Debt Issuances and associated hedges interest rate hedges (IRS, CCS, FX Swaps) and commodities etc.
• Monitoring of key controls/ processes around daily Pnl & Balance Sheet
• Ensuring that all controls are followed and reviewed in a timely manner.
• Liaising with different stakeholders like Middle Office, IT, Operation, External Audit and respective financial controller to timely resolution of the issues
• Responsible for the delivery of various hedge accounting and control enhancement work streams
• Reviewing Daily P&L trends and highlighting gaps / opportunities to Forecast.
• Review of Month end reconciliations between the various TP systems and the ledger.
• Review of month-end balance sheet substantiation of PC owned traded balances.
• Assist in implementation of sound controls and consistent processes around the globe to ensure adherence to International Accounting Standards (IAS).
• To provide assistance with IAS related queries, hedge effectiveness testing.
• Providing advice to middle office/ Front office for deal structures and designing optimum booking models across the various Global Markets Transaction Processing Systems.
• Primary contact person for the business and Local Finance teams with regards to issues relating to respective asset class
• CA/MBA/CFA/FRM/ACCA with 4 - 6 years of work experience
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