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hr@torroso.com
Chức vụ
Risk and Control Front Office Analyst
A leading financial services firm with offices based across the globe, are currently looking for additional AVP level individuals to work within the Risk and Control function.
Essential skills
- Ability to discuss and resolve complex Risk and Control and Regulatory issues and be able to translate to business requirements
- Highly organised and with strong attention to detail
- Excellent communicator, both written and verbal
- Strong ability to multitask and take initiative
- Problem solver able to operate in a fast paced, dynamic environment and deliver solutions
- Ability to influence and negotiate across all areas and levels of the organisation
- Excellent project management skills and ability to prioritize
- Solution focussed and able to operate in a fast paced, dynamic environment.
- Can-do attitude who can has experience in delivering change within agreed deadlines
- Product expertise
Desirable
- Relevant degree from tier one University
- Knowledge of process flows from an operational and/or financial perspective is a bonus
Financial Planning & Analysis
Financial Planning & Analysis (FP&A) is a critical department to assess the profitability, liquidity, solvency, and stability of the company through various analytical reports. FP&A department would assist the management with the information to make strategic, operational, and tactical decisions
Major Responsibilities:
- Gather, model, analyze, prepare and summarize information for companys forecast on a monthly, quarterly, and annual basis.
- Prepare, analyze the functional as well as branch level P&L of the company
- Lead Annual Budgeting & Strategic planning process and reporting.
- Compare the actual performance against the budget & provide a deep dive variance analysis to management
- Provide timely and accurate management financial reporting.
- Lead analysis of financial results income statement, balance sheet and cash flow
- Ensures effective understanding, analysis, and reporting of key business drivers such as yield, cost, product mix, etc. and coordinate related activities.
- Provide all aspects of financial support for the planning process.
- Provide business Support by working closing with each business head and their team.
- Drives process improvements and projects as identified
- Collecting information and evidence for decision making of management
- Periodic management reporting, updating reporting decks & management reviews as required
Qualification:
- CA/ MBA
- 7-10 years of relevant post qualification working experience.
- Strong Communication and interpersonal skills.
- Ability to work cooperatively and collaboratively with senior staff of the organization.
- Commitment to outstanding performance.
- Ability to equilibrate priorities and organize work effectively to meet deadlines.
Experience, Knowledge & Skills
- Qualified Chartered Accountant
- Strong academic background
- Highly developed communication skills and experience of operating in an international environment, preferably from working for an international company.
- Self-motivated with a mature attitude. Able to work independently in a professional manner and maintain high standards of integrity.
- Ability to question and challenge the existing processes, with a view to creating reporting efficiencies and improvements.
- International outlook. Able to cope with working with staff in different offices worldwide.
- Drive and determination to obtain understanding of complex, business-driven transactions and report these accurately according to the appropriate accounting standards.
- Intermediate/advanced Excel skills and a willingness to use technology to complete/ improve daily tasks.
- Team player with an enthusiastic approach to fresh challenges.
- Strong communication skills. Comfortable to liaise with non-accounting staff at all levels on a routine basis.
Key Responsibilities
- Month end book close
- Review and provide month end accruals, amortization, depreciation etc.
- Deep dive analysis of entire overhead expenses of the company
- Monthly reporting to department owners and provide variance analysis vis–vis budget
- Preparation of budgets and forecasts
- Review of balance sheet and post necessary journals
- Interacting with auditors and resolution of audit queries
Knowledge, Skills And Abilities
- * Mandatory
- English speaking with excellent spoken and written communication skills.
- Educated to degree level or equivalent and highly numerate.
- Excellent accuracy and attention to detail.
- Able to cope in a highly pressured and demanding environment and handle high volumes of work.
- ** Desirable
- Excel and database skills.
- An understanding of financial controls.
- Book keeping / basic accounting experience.
Key Relationships
- Group payroll Accounting
- Accounts Payables
- Department Heads