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Treasury Accounting Managers/ Assistant Managers, Banking

Specialism:
Audit/Accounts Jobs, Treasury Jobs
Job Title:
Tax Accountant Jobs, Tax Manager Jobs
Region:
UK & Ireland Tax Jobs
Location:
Greater London Tax Jobs
City:
City of London Tax Jobs
Salary:
£45,000 to £60,000 per annum
Posted:
12-Aug-16
Job Ref:
12739

Job Description:
The Client – Big 4 consulting Firm with a leading practice in Financial Services advisory consulting
The role - The Corporate Treasury Services team is part of the Banking and Capital Markets Audit Group. Clients include both audit and non-audit corporate clients in sectors as diverse as TMT, Consumer, Energy, Aviation and Manufacturing. They continue to assist their clients in a broad range of contexts including Treasury strategies and policies, structured transactions, valuations for financial instruments, new accounting standards and specialist treasury accounting input into external audits.

The team is experiencing an exceptional rate of growth which will ensure a range of exciting opportunities in the future are available.

Responsibilities

As an Assistant Manager or Manager within the Corporate Treasury Services team, you will have the opportunity to help the firm to continue to build a business focused on serving the world's leading Corporates with their most complex business challenges.

The successful candidates will assist in the provision of a range of different service offerings provided by the Corporate Treasury Services team, which may include in the first instance:
• Provision of financial instruments accounting advice to clients or internal teams (IFRS, UK GAAP and / or US GAAP)
• Delivering / managing specialist areas of corporate audit engagements or treasury accounting advice to non-audit clients focusing on:
• Accounting for financial instruments including hedge accounting and disclosures;
• Implementation of new accounting standards,
• Independent valuations; and
• Treasury control.
• Secondment opportunities to support corporate client financial reporting and accounting functions.
• Governance and control with respect to the Treasury function.
Successful candidates may also have a chance to be involved in:
• Strategic advice in Treasury operations including Treasury Policies and KPIs
• Risk management including Foreign Exchange, Interest Rate, Credit and Commodity risk management
• Treasury transformation and benchmarking
• Participation in cross-service line advisory projects
• Cash and liquidity management
• Treasury technology
Key Requirements -
• ACA, ACCA or equivalent
• Prior experience in a Corporate Treasury Accounting function or audit of a Treasury function
• Strong technical knowledge of accounting for financial instrument under IFRS and UK GAAP including hedge accounting
• Experience in valuation of financial instruments. Extensive valuation experience is valuable but not essential.
• Experience in risk management, Treasury strategies, systems and Governance and Controls would be an advantage
• Ability to interact and build business relationships with clients and other professionals across the firm
• Highly proficient in written and oral communication
• Excellent project management and team leadership skills
• Impressive analytical capabilities
• Desire to work in an advisory environment and build a business and a career in professional services

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