ebury
Madrid, Spain
Responsibilities Preparation of the monthly entity reporting packs, liaising with colleagues within Finance and other non-Finance areas to coordinate information required in line with deadlines. Prepare analysis and commentary for monthly financial results, identifying and coordinating information requirements from operating subsidiaries and branches. Develop management reporting to track, understand and comment on business performance. Develop relationships across the business, including sales, product, treasury and technology to deliver business insights. Management and oversight of trade finance projects across the business. Close involvement with Treasury/Operations team working on trade finance reconciliations and system/reporting improvements. Management and coordination of accounting and audit process for SPV entity. Work closely with the Group Financial Control team to understand and articulate the effect of IFRS upon the financial results and regulatory capital...