Join us as a Senior Associate in a team responsible for managing Macquarie’s capital, funding and liquidity positions and grow your career in a supportive and inclusive environment.
Group Treasury’s Funded Balance Sheet team is responsible for external disclosures relating to Macquarie’s funding position to investors in the annual and half year results announcement, operational briefing and in the Annual General Meeting investor presentations. The team also plays a key role in the preparation of the 144A submissions which is filed with the Security and Exchange Commission on half-yearly basis.
Your key responsibilities in this role will include assisting in monthly Funded Balance Sheet preparation as well as working on reconciliation and variance analysis of balances relating to Funding Sourced and Funded Assets. You’ll be working on robust control frameworks around balances including obtaining sign offs from stakeholders, preparation of various charts and graphs as part of external disclosures and managing content and live updates during the reporting cycles within the Management Discussion and Analysis (MD&A) Document.
You’ll ensure knowledge is shared with team members via cross training and team learning while also developing relationships with key members of the Group Treasury team across the regions. You’ll also ensure to maintain and updating detailed documentation of various processes and procedures and continually attempting to improve the control environment. You’ll also get the opportunity to support our ongoing General Ledger change project by system testing and remediation of Excel files.
To be successful in this role you’ll have a good academic background in accounting and finance with some IT skills. Having a post-graduation degree of CA, MBA (Finance), M. Com etc will be an added advantage. You’ll bring strong Microsoft Excel skills (e.g., Macros, Lookups, formulas nesting, slicers, Power Pivots etc) with 2-4 years of relevant experience in accounting and reporting from the Financial/Banking Services industry and shared services operating models. You should also have good attention to detail and strong communication skills.
If this sounds like the right opportunity to further your career, apply online now.
About the Financial Management Group
The Financial Management Group provides financial, tax and treasury services to all areas of Macquarie. The group is focused on providing strategic analysis and advice to Macquarie’s businesses and senior management, managing Macquarie’s funding, liquidity and capital position, ensuring Macquarie continues to meet regulatory and compliance obligations and managing Macquarie’s corporate affairs.
Our commitment to Diversity and Inclusion
The diversity of our people is one of our greatest strengths, and in combination with our inclusive environment, it enables us to deliver innovative and sustainable outcomes for our people, clients, shareholders and communities. From day one, you’ll be encouraged to be yourself and supported to perform at your best. If our purpose of ‘empowering people to innovate and invest for a better future is as inspiring to you as it is to us, please apply. With the right technology, support and resources, our people can work in a range of flexible ways.
We are committed to providing a working environment that embraces and values diversity and inclusion. We encourage candidates to speak with a member of our recruitment team if you require adjustments to our recruitment process to support you, and the type of working arrangements that would help you thrive.
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