Join to apply for the Finance and risk manager role at Michael Page.
About Our Client
Our client is a bank.
Job Description
* Manage monthly and year-end accounting activities, including journal entries, reconciliations, P&L reporting, balance sheet reviews, variance analysis, and preparation of statutory accounts.
* Improve accounting processes by identifying efficiencies, enhancing controls, streamlining workflows, and ensuring timely, accurate financial reporting.
* Collaborate with internal stakeholders to analyse spending, develop reporting tools, and support cost‑management initiatives.
* Handle regulatory and tax obligations, including VAT, withholding tax, corporate tax, and SNB/FINMA reporting, while ensuring full compliance.
* Support audits through preparation of documentation and resolution of queries.
* Oversee daily cash operations, including bank reconciliations, trading system matching, margin payments, currency exposure monitoring, and banking administration.
* Process client payments and receipts in multiple currencies, liaise with banks, respond to internal payment queries, and perform fraud and AML checks.
The Successful Applicant
* A degree in Finance, Accounting, Economics, or a related field.
* Minimum 5 years of experience with previous experience in banking.
* Strong knowledge of Excel.
* Fluency in English, with additional language skills being a plus.
* Excellent analytical and problem‑solving abilities.
* Attention to detail and a methodical approach to tasks.
What's on Offer
* You will work in a strong financial group.
* You will have opportunities to grow and work on development projects.
* Interesting bonus structure.
* Up to 2 days of home office a week.
Contact
Charlotte Jung
Seniority level
* Mid‑Senior level
Employment type
* Full‑time
Job function
* Finance and Sales
Industries
* Staffing and Recruiting
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