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About Our Client Our client is a global leader specialising in providing a total solution to their customers. This business is forward thinking and progressive, continually looking to enhance their strong market position which is demonstrated by their impressive growth and product diversity. As a business they strive to be the best in their field, with a strong focus on providing the best support and training to their employees as well as offering a challenging and rewarding career both in Australia and overseas. Job Description A dynamic and challenging role has been created within the Equity Product Control group of this high profile global Investment Bank. The role supports the Australian equity markets business and provides you with fantastic exposure to the front office trading environment. Working with the traders you will produce and analyse daily P&L reports for the Australian equity business, and will be involved in daily balance sheet and funding review. There will be a strong focus on monthly management reporting and you will provide detailed reports to the sales team for a number of the banks large institutional clients. The Successful Applicant You must be tertiary qualified and have completed your CA/CPA with upto 2 years post qualified experience. Ideally you will have experience gained in a Product Control or Financial Control position within an Investment Bank or Big 4 bank, but my client will be open to someone with a genuine interest in global markets coupled with a strong audit background either from a Big 4 or a large 2nd tier Chartered firm. Financial Services exposure within audit is not a pre-requisite but will be highly regarded. The Product Control division is a fast paced, dynamic environment and requires a pro-active, forward thinking person with strong communication and interpersonal skills who thrives on a challenging and progressive work place. Central CBD location
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