Product Controller in Warszawa | NatWest Group Careers
- Employer
- NatWest Group
- Location
- Warsaw, Poland
- Salary
- Competitive
- Closing date
- Jan 21, 2021
View more
- Job Function
- Accounting/Audit/Tax
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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Join us as a Product Controller
What you'll do
As Product Controller, you'll support the wider team in achieving objectives, project and process improvement initiatives, and collaborate with management in the review and challenge of team outputs. You'll manage the daily calculation and reporting of P&L or balance sheet statements for respective trading desks, including reconciliation, analytical review, driver analysis in line with business requirements, and work proactively with all internal and external stakeholders to resolve any issues around the process performed.
Through the course of your work, you'll:
The skills you'll need
To succeed in this role, you'll need experience in a finance or banking environment with a good understanding of financial markets, including products, valuation and risk across asset classes. You'll ideally have technical skills relating to VBA and SQL, and you'll also be working towards, or qualified, with CFA, ACCA or CIMA.
We'll also look to you to bring:
- Hone your accounting skills and advance your career as you undertake complex financial and accounting issues
- You'll identify improvements in processes to obtain efficiencies and improve key controls
- This is an opportunity to enhance your skillset while opening doors for career progression
What you'll do
As Product Controller, you'll support the wider team in achieving objectives, project and process improvement initiatives, and collaborate with management in the review and challenge of team outputs. You'll manage the daily calculation and reporting of P&L or balance sheet statements for respective trading desks, including reconciliation, analytical review, driver analysis in line with business requirements, and work proactively with all internal and external stakeholders to resolve any issues around the process performed.
Through the course of your work, you'll:
- Ensure the sign-off of daily and monthly P&Ls by traders
- Identify improvements in processes to obtain efficiencies and improve key controls
- Be responsible for monthly balance sheet substantiation and control
- Provide an accurate and timely service for the specific unit, while making sure that all outputs are validated and delivered in accordance with SLAs
- Work closely with other product control teams, Market & Operational Risk, Operations and other finance teams to make sure queries are resolved on time
- Complete daily, weekly, monthly and ad-hoc reporting and analysis, covering mainly revenue but also balance sheet
The skills you'll need
To succeed in this role, you'll need experience in a finance or banking environment with a good understanding of financial markets, including products, valuation and risk across asset classes. You'll ideally have technical skills relating to VBA and SQL, and you'll also be working towards, or qualified, with CFA, ACCA or CIMA.
We'll also look to you to bring:
- Good accounting skills with experience gained in the financial services sector
- An understanding of the front to back setup within investment banking, including systems, processes and functions
- The ability to identify and resolve issues with minimum supervision and prioritise workloads in a pressured environment
- Excellent communication skills, both written and verbal
- The ability to build strong business relationships in a changing and fast paced environment, and work well as a team to meet objectives
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