The GTB Business Finance function is responsible for all finance matters specific to the GTB business including but not limited to Performance Control Forecasting Budgeting & Strategy. In addition the function provides a key support role to other Group Finance functions Treasury Central FP&A Tax as well as Financial & Regulatory Reporting.
Key priorities of this role include:
- Support GTB Business Finance in implementing a strong financial governance framework across the UAE and International locations encompassing performance reviews budgeting process financial control regulatory and internal audit matters country strategy and internal / external communication.
- Act as a trusted advisor on business performance and main point of contact for responding specific business requirement.
- Providing indepth Financial Analysis for Global Transaction Banking (GTB) provide value added insight & support to business in achieving their target.
- Contribute fully to transforming FAB Finance through engagement in various transformation initiatives.
Effectively coordinate communicate and build excellent relationships with key stakeholders across Finance and GTB Business.
KEY ACCOUNTABILITIES:
- Financial Control & Governance Oversight
- Review GTB daily P&L investigate and Analyse the Variances. Any material variations to be flagged and remediated with relevant Operations and IT team.
- Regularly assess and investigate when required the integrity of financial information.
- Assist Account controller to manage and review all accounts that falls under GTB business. Perform Conformance testing on a sample list of accounts in coordination with GFC.
- Ensure Group AOV policy is fully adhered to and confirm appropriate classification of accounts and ageing.
- Provide attestation and ensure signoff in One FC in a timely manner without any red flags.
- Coordinate with GFC to maintain and support the framework of financial controls.
- Ensure zero unsatisfactory audit point.
- Maintain SOPs for all processes and tasks that falls under GTB business finance documented with relevant approvals
- Review and ensure GTB product papers covering Trade Cash and OD are appropriately reflecting detailed accounting schema including VAT containing GL product category.
- GTB Projects & BRDs Review
- Support HoGTB Finance in reviewing the Capex P/L benefits such as revenues cost savings and KPIs are appropriately captured in BCD documents.
- Assess profitability of new projects and challenge business on ROI
- Maintain repository of approved BRDs to review at a later stage to challenge business.
- Work with GTB Channels and product team to gain full understanding of projects and its benefits.
- Collaborate with business and CPMO on Value reporting of projects that went live.
- Critically assess KPIs once the projects are live on an ongoing basis.
- Develop GTB Projects Capex reports providing a view on YoY spending and challenge business on benefits accrual.
- Performance Reporting & Exception reports
- Work closely with FPA & FR to develop exception reports to ensure integrity of financial and management reporting. Eg: Negative Income
- Collaborate with FP&A to design and develop new MI reports that provides new perspective.
- Liaise with GT on FTP related queries from business covering Trade products.
- Assist HoGTB in reviewing and developing analytics around ECL & RWA to proactively monitor and assess if there any optimisation initiatives.
- Liaise with Trade Risk distribution team and ensure risk participation payouts are accrued in respective period without any lag.
- Work with Risk and CAD to ensure Risk distribution numbers are consumed for cRWA calculation.
- Transformation and Continuous Improvement
- Support ongoing finance transformation projects in liaison with wider finance teams such as UAT participation etc.
- Seek to identify and recommend changes that improves Customer Satisfaction and productivity.
#LIMA3
Qualifications :
Minimum Qualification
- Professional qualifications preferred e.g. ACA CPA MBA
- Selfstarter with experience in financial analysis and performance analysis desired
- Strong presentation skills and adept in MS Productivity tools e.g. MS PowerPoint and MS Excel
- Technical knowledge of Corporate & Investment Banking products. Senior level of experience in finance analysis strategic planning banking and financial markets with ability to interpret key bank ratios and economic indicators.
- Proven ability in direct management of a finance team from a leading International Bank(s)
- Proven ability in liaising & dealing with Business leaders GCFO Enablement heads Auditors & external consultants.
- Excellent communication skills with a high degree of personal integrity who can deliver under pressure
- Commercially oriented mindset and keen awareness of significant trends in financial markets and banking
- Ability to use and apply key strategic concepts models and tools.
Minimum Experience
- 8 years relevant experience from a leading international bank(s)
Remote Work :
No
Employment Type :
Fulltime