Middle Office and Product Control Analyst - 73471
S.i. Systèmes
Toronto, ON-
Nombre de poste(s) à combler : 1
- Salaire À discuter
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Emploi Contrat
- Publié le 17 avril 2025
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Date d'entrée en fonction : 1 poste à combler dès que possible
Description
Line of Business: Global Middle Office and Product Control
Duration: 12 months (possibility of conversion to full time)
Location: Hybrid - Downtown Toronto (1 day a week flexible)
Must Have Have
- 2 years of related experience
- Strong Computer skills, including strong knowledge of Excel and VBA
- Experience in financial services industry with a focus on Capital Markets would be an asset
- Broadridge /ADP/BPS
The Capital Markets Product Control Group includes the following focus areas:
1. Derivative and Nesbitt Burns Product (Canadian broker/dealer subsidiary)
2. Fixed Income and Capital Markets Corporation Product Control
3. Investment & Commercial Banking (“I&CB”) Product Control
The CM Product Control team is responsible for;
- Providing end to end accounting support from the source sub-ledgers to general ledger systems for Capital Markets Businesses and Products
- Responsible for ensuring the integrity and accuracy of the general ledger including initiating accounting entries, completing reconciliations and providing financial attestations.
- Ensuring appropriate accounting policies and best practices are followed
- Performing complex analysis and investigations
- Leading the identification and implementation of process and control improvements
- Ensuring the readiness of operational accounting for new product initiatives, accounting changes and system implementations or upgrades
- Participating in change initiatives performing requirements gathering, process design, system testing and post-implementation reviews
- Partnering with Front Office, Finance, Risk and Controls, Trade Support, Profit and Loss, Project Delivery, Technology and Operations to enhance end-to-end process and controls
Key Accountabilities
- As a CM Product Control Senior Analyst, the candidate will be primarily responsible for;
- Preparing and processing journal entries,
- Preparing reconciliations and resolving differences between source systems and ledgers.
- Ensure prompt investigation and resolution of issues and recommend improvements
- Maintain effective relationships with P&L, Finance, Operations and Technology groups
- Ensure the quality of own work and understand its impact on the processes of others within and outside of own function/unit
- Provide assistance with system upgrade and release testing
- Identify and recommend automation opportunities and implement agreed upon process changes
Interviews:
- 2 rounds
- 1st round virtual via MS Teams
- 2nd with HM and colleagues - in-person
Exigences
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