Opportunity Description
Elevate your finance career as an Interim Senior Analyst in Treasury Product Control with a leading Big-5 Canadian Bank. This hybrid role requires expertise in P&L analysis and funding assessment.
In this role, you will be pivotal in monitoring and reporting P&L attribution, hedge effectiveness, and valuation integrity. Your responsibilities will also include assessing the funding requirements for various desks, ensuring they have adequate backing to operate effectively. This position demands efficient data analysis to maintain the accuracy of financial records.
Key Responsibilities:
• Produce and analyze P&L attribution and hedge effectiveness
• Report on risk and valuation for financial accuracy
• Assess funding requirements for desks covered
• Ensure completeness and integrity of Profit and Loss
Requirements:
• Experience with Treasury products in Finance/Accounting
• Proficiency in Excel, Alteryx, or similar systems
• Actively pursuing or holding a CPA...
In this role, you will be pivotal in monitoring and reporting P&L attribution, hedge effectiveness, and valuation integrity. Your responsibilities will also include assessing the funding requirements for various desks, ensuring they have adequate backing to operate effectively. This position demands efficient data analysis to maintain the accuracy of financial records.
Key Responsibilities:
• Produce and analyze P&L attribution and hedge effectiveness
• Report on risk and valuation for financial accuracy
• Assess funding requirements for desks covered
• Ensure completeness and integrity of Profit and Loss
Requirements:
• Experience with Treasury products in Finance/Accounting
• Proficiency in Excel, Alteryx, or similar systems
• Actively pursuing or holding a CPA...
Ready to Apply?
Submit your application for Interim Senior Analyst Treasury Control at IFG International Financial Group Ltd
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