The key functions of the role will cover, in respect of the FX & Commodities businesses in Australia, responsibility for:
- The production of the daily P&L
- Comprehensive P&L analysis including risk positions, realised and unrealised P&L components, revaluation curve movements, new deals, cancelled and amended trades and rate validation
- Policies
- Profit reserving
- Balance sheet control
- Regulatory and external reporting
- Key linkages with Market Risk and Operations
- Keeping Global Head of Product Control informed of any material issues and discussing resolution
- Discussion with Front Office regarding P&L analysis and resolution of issues
Experience Required:
- Minimum 8 years experience in a Product Control Function, ideally in a major bank
- Broad knowledge, experience and understanding of Financial Services industry
- Experience of management and development of an experienced and high-performing team
- CA or CPA qualified
To find out more about this role or to apply, please forward your CV via the link below.