about the company.
A leading international banking group offering a comprehensive range of corporate and financial services globally.
about the job.
- Execute general ledger entries, core banking system bookings, and manage month-end closing activities.
- Prepare and update fixed assets schedules, tracking monthly depreciation, additions, and disposals.
- Ensure accurate statutory and regulatory reporting compliance to meet local banking guidelines.
- Support group consolidation reporting and manage financial data query reconciliations.
- Assist with corporate tax scheduling and collaborate with external tax advisors and auditors.
skills and experience required.
- Minimum 3 years of relevant accounting or financial experience within the banking sector, or financial services audit
- Prior exposure to regulatory reporting
- Familiarity with Tier-1 core banking systems and reporting portals
- Professional accounting qualification or degree in Finance/Accountancy/ACCA
Please click on the 'apply' button to apply online.
(EA: 94C3609 / R1223887)