With a strategic focus on Australia, New Zealand and the near Pacific, the Bank provides a broad range of banking and financial services – including retail, business and institutional banking. They also have offices in key financial centres around the world including London, New York, Hong Kong and Singapore.
Key responsibilities
- Responsible for both financial accounting and management reporting
- Preparing annual Business Strategy Review and Planning
- Reviewing monthly 24 months rolling forecast
- Providing high quality, accurate and timely monthly financial and management information, together with relevant analysis and commentary
- Responsible for providing Balance Sheet Review of Group Capital to GM.
- Responsible for setting up New Hybrid deals including Product system input, compliance requirements, financial and management accounting treatments.
- Highly engage with other business units for any Economic Capital matters
- Responsiveness to all ad-hoc business issues
- Review Notes for ASX and Statutory reporting.
- Ensure all compliance requirements are met.
- Project management & implementation
Critical competencies
- Relevant industry experience (>5 years)
- Advance people management skills
- Exceptional communication, leadership and influencing skills
- Thorough understanding of product accounting and related technical ability
- Understanding of the constantly changing regulatory regime
- Sound knowledge of tax and consolidation functions
Technical competencies
- Comprehensive knowledge of market risk products and of local and international accounting standards
- Strong understanding of hedging products and related accounting treatments
- Strong analytical skills
- Advance computer skills on Excel and Access Database
- Knowledge of Oracle GL, BIO, GDW & Murex
- Tertiary qualified in Finance / Accounting and CA / CPA qualified