
Syndicate Accountant
- London
- Permanent
- Full-time
- Provide flexible support for the delivery of the syndicate result & the production of the balance sheet
- Support the Syndicate Finance Manager in various monthly and quarterly accounting activities
- Manage the relationship with the Internal Broker and work with them to maintain appropriate KPI levels on unallocated cash and settled direct balances
- Provide daily support and review of the activities of the offshore Cashiering and CBS teams
- Maintain operational responsibility for the Finance aspects of the Treasury Management System, Kyriba.
- Develop and foster a culture of continuous improvement
- Assist in the offshoring of syndicate activities, identifying future improvements to the current model
- Contribute new ideas for fresh analysis, improvement of process and for making better use of technology
- Work directly with other areas of the Finance team (Group Finance, Regulatory Reporting, FP&A, Treasury, Capital, Tax) to ensure good communication and understanding between teams
- Work collaboratively with other teams in the resolutions of queries, problems and in the improvement of team functioning
- Investigate and analyse issues that arise, and provide summaries and recommendations to the Syndicate Finance Manager
- Implement improvements to existing processes
- Strong analytical, modelling and mathematical skills
- Good verbal and written communication skills
- Advanced Microsoft Excel
- Syndicate experience
- Strong attention to detail and focused on the delivery of high quality work