Relevant degree and/or equivalent work experience. Prior experience of working in the financial services industry or the Finance department of an organisation. Collaboration - you enjoy working within a team to achieve common goals. Communication - you can communicate and build relationships with a diverse range of people with varying levels of knowledge and experience. Talent and responsibility - you take pride in the quality of your work and your contribution to the team. The ability to work independently in a self-directed way in a collaborative, team-oriented environment. Experience using MS Office (Excel, PowerPoint, and Word) beneficial. Core Responsibilities:
Undertake analysis of liquidity reporting data to validate, understand and provide commentary on key business drivers. Develop collaborative working relationships with a range of stakeholders including Corporate Treasury and Technology, across different departments and regions. Prepare sections of the daily and monthly liquidity reporting for the Firm. Ensure liquidity reporting adheres to the defined control framework and is consistent with other reporting produced across the wider team. Participate in improvement efforts including department level work streams and IT automation initiatives. Job reference: 15873 To apply for this vacancy, applicants must be eligible to work in the UK in accordance with the Immigration, Asylum and Nationality Act 2006.
#J-18808-Ljbffr