You are a strategic thinker passionate about driving solutions in financial control.You have found the right team.
As a Financial control Professionalin ourFinanceteam you will spend each day defining, refining and delivering set goals for our firm.
Job Responsibilities:
Manage the monthly consolidation of JPMorgan Chase income statement and balance sheet
Develop and maintain financial reports and schedules
Control post-closing entries and consolidation adjustments
Perform various control procedures to ensure the integrity of reported financial results
Participate in all aspects of the production of the monthly financial Variance Analysis Report
Support ad-hoc requests for financial information received from across the firm
Work closely with the line of business controllers, middle office andoperations areas to understand theoperational impact of trading strategies and settlement practices for the businesses globally
Work with various areas to research, escalate, and clear cash and settlement exceptions in a timely manner
Work with the businesses and controllers to understand and sign off on monthly profit and loss
Complete monthly general ledger reconciliation process
Required qualifications, capabilities, and skills:
Chartered Accountant or equivalent degree from any other university
Excellent desktop/spreadsheet/database skills
Ability to work well under pressure and balance multiple priorities. Ability tobuild and maintain partnerships within the various product aligned businesses and across other corporate groups
Ability to understand business drivers and requirements and influence others to deliver solutions
Ability tocritically challenge with the goal of identifying control issues. Ability to quickly understand workings of a complex processing system and general ledger systems across the infrastructure and their interrelationships and dependencies
Aptitude for learning and leveraging systems and data flows. Basic understanding of the firm's products
Minimum 4 years of relevant work experience in same industry or Controllership or Accounting domain or External Reporting domain
Ability to create an open, transparent environment where team members are empowered to make decisions
Clearly and consistently communicate the vision and direction for the team
Preferred qualifications, capabilities, and skills:
Basic experience with a financial consolidation and reporting system (i.e. SAP interface)
Bachelor's degree in Accounting, Finance, or related businessfield
Experience in US Deposit reporting will be plus
Basic knowledge of industry standards and regulations for US GAAP &/or IFRS Standards
Full time