Job Overview
The role entails the production of financial reports and provision of analysis to manage liquidity reporting across BNP Paribas EMEA entities.
An essential aspect is ensuring the control and reliability of financial data necessary for producing liquidity reporting in conjunction with Group/Business Lines.
Main goals include reconciling accounting vs eco data on balance sheet positions concerning various financial products, identifying discrepancies, and implementing lasting solutions.
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Main Responsibilities
* Fostering a comprehensive understanding of financial activities, accounting, and economic systems/processes.
* Nurturing relationships within the organization, encompassing finance, middle office, back office, IT, and management teams.
* Identifying common best practices and developing procedures for implementation across all sites.
* Managing report generation based on quarterly findings and reconciliation outcomes.
* Assisting in process improvement initiatives regarding operational efficiency, control procedures, and workflow optimization.
* Liaising with diverse stakeholders, experts, and IT professionals to resolve identified issues during closing periods.
The ideal candidate will possess strong analytical skills, proficiency in SAP BI, MS Office, and business intelligence tools, as well as excellent communication and organizational abilities.
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Required Skills and Qualifications
* Masters degree in accounting or finance.
* At least 3 years of professional experience in corporate investment banking or data analysis.
* Baseline knowledge of banking balance sheets and key components.
* Detailed comprehension of Global Markets products and their accounting framework.
* Proficiency in SAP BI, MS Office, and business intelligence tools.
The selected individual will be capable of independent work, leading investigations, and coordinating with investigation teams.