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As a Financial Controller in the Finance team you will be responsible for defining refining and delivering financial strategies to meet the global business needs Your role will involve managing the financial reporting process controlling postclosing entries performing control procedures and ensuring compliance with regulatory reporting requirements You will collaborate with various teams to understand the operational impact of trading and ensure the integrity of financial and reporting processes Key Responsibilities Develop and maintain financial reports and schedules Control postclosing entries and consolidation adjustments Perform control procedures to ensure the integrity of reported financial results Participate in producing the monthly financial Variance Analysis Report Support adhoc requests for financial information Collaborate with businesses and controllers to approve monthly profit and loss statements Complete the monthly general ledger reconciliation process Qualifications Required Basic experience with a financial consolidation and reporting system i e SAP interface Bachelors degree in Accounting Finance or related business field Chartered Accountant or MBA Finance or equivalent degree from any other university Ability to quickly understand complex processing system and general ledger systems 4 years of relevant work experience in the same industry or Controllership or Accounting domain Basic understanding of transformation visualization products such as Alteryx Tableau UI Path and other Intelligent Solutions Skills will be an added advantage Aptitude for learning and leveraging systems and data flows Basic understanding of the firms products and its accounting Note The job description also includes information about JPMorgan Chase an equal opportunity employer that values diversity and inclusion at the workplace As a Financial Controller in the Finance team you will be responsible for defining refining and delivering financial strategies to meet the global business needs Your role will involve managing the financial reporting process controlling postclosing entries performing control procedures and ensuring compliance with regulatory reporting requirements You will collaborate with various teams to understand the operational impact of trading and ensure the integrity of financial and reporting processes Key Responsibilities Develop and maintain financial reports and schedules Control postclosing entries and consolidation adjustments Perform control procedures to ensure the integrity of reported financial results Participate in producing the monthly financial Variance Analysis Report Support adhoc requests for financial information Collaborate with businesses and controllers to approve monthly profit and loss statements Complete the monthly general ledger reconciliation process Qualifications Required Basic experience with a financial consolidation and reporting system i e SAP interface Bachelors degree in Accounting Finance or related business field Chartered Accountant or MBA Finance or equivalent degree from any other university Ability to quickly understand complex processing system and general ledger systems 4 years of relevant work experience in the same industry or Controllership or Accounting domain Basic understanding of transformation visualization products such as Alteryx Tableau UI Path and other Intelligent Solutions Skills will be an added advantage Aptitude for learning and leveraging systems and data flows Basic understanding of the firms products and its accounting Note The job description also includes information about JPMorgan Chase an equal opportunity employer that values diversity and inclusion at the workplace
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