12 month contract role for a Global Banking client. My client needs a candidate that understands how RCSA is used to manage and mitigate compliance/regulatory risk within financial crime, markets and banking regulations. Hybrid model requires staff in the office 2 days a week, which is based near St. Pauls. Purpose of the Role: Report to the Head of Central Compliance and discharge the Compliance Regulatory Risk & Control Oversight and Control function for
12 month contract role for a Global Banking client. My client needs a candidate that understands how RCSA is used to manage and mitigate compliance/regulatory risk within financial crime, markets and banking regulations. Hybrid model requires staff in the office 2 days a week, which is based near St. Pauls. Purpose of the Role: Report to the Head of Central Compliance and discharge the Compliance Regulatory Risk & Control Oversight and Control function for
Responsibilities: P&L which includes validating and potentially re-attributing the explanation of the one or more of the various trading desks. Reconciliations and substantiation of balances to ensure the integrity of the general ledger. Daily P&L & Balance sheet reporting and oversight. This includes review of daily sub-ledger P&L, preparation of daily commentary and reviewing changes to the daily balance sheet. Planning & Reporting including influenci
Responsibilities: P&L which includes validating and potentially re-attributing the explanation of the one or more of the various trading desks. Reconciliations and substantiation of balances to ensure the integrity of the general ledger. Daily P&L & Balance sheet reporting and oversight. This includes review of daily sub-ledger P&L, preparation of daily commentary and reviewing changes to the daily balance sheet. Planning & Reporting including influenci
MAIN PURPOSE OF THE ROLE This role sits within the Corporate Actions and Income Processing team where the successful candidate will assist the team in being responsible for the processing of Income events across global markets on Equitiesand Debt Securities. KEY RESPONSIBILITIES Responsible for the front to back processing of all proprietary Income events (Coupons and Dividends),as well as covering the voluntary Corporate Actions (incl Optional Dividends)
MAIN PURPOSE OF THE ROLE This role sits within the Corporate Actions and Income Processing team where the successful candidate will assist the team in being responsible for the processing of Income events across global markets on Equitiesand Debt Securities. KEY RESPONSIBILITIES Responsible for the front to back processing of all proprietary Income events (Coupons and Dividends),as well as covering the voluntary Corporate Actions (incl Optional Dividends)
Product Delivery Manager Contract Role Hybrid working 2-3 days, 12 -24 months contract, Paying £950 - £1050 Umbrella A leading Asset Management Firm are looking for a Product Delivery Manager to join on a contract basis As a Product Delivery Manager you will be responsible for the delivery of new and consolidated cross asset class Investment Toolkit, replacing several legacy applications and data stores and the implementation of Model Based Investing T
Product Delivery Manager Contract Role Hybrid working 2-3 days, 12 -24 months contract, Paying £950 - £1050 Umbrella A leading Asset Management Firm are looking for a Product Delivery Manager to join on a contract basis As a Product Delivery Manager you will be responsible for the delivery of new and consolidated cross asset class Investment Toolkit, replacing several legacy applications and data stores and the implementation of Model Based Investing T
RESPONSIBILITIESActively manage risk & P&L for all clients equity derivative trading accountsTrade management - timely allocation of a high number of synthetic trades & associated hedges across a number of flows & resolution of any resulting economic breaksQuery management - efficient handling of incoming queries from clients, custodians, PB, sales, trading desks & other internal clientsReconciliation - trade reconciliation, risk reconciliation and complet
RESPONSIBILITIESActively manage risk & P&L for all clients equity derivative trading accountsTrade management - timely allocation of a high number of synthetic trades & associated hedges across a number of flows & resolution of any resulting economic breaksQuery management - efficient handling of incoming queries from clients, custodians, PB, sales, trading desks & other internal clientsReconciliation - trade reconciliation, risk reconciliation and complet
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