Senior Analyst - Firmwide Financial Control - TAX Asset Class Control
Aumni
Job Description
Are you ready to make a significant impact in the world of tax data management? Join our team as a TAX Asset Class Control (TAX ACC) Analyst and become a key player in ensuring the accuracy and integrity of our tax-related financial data. In this role, you'll leverage your analytical skills to perform critical controls, checks, and reconciliations, while supporting our Corporate Tax Organization. This is your opportunity to work with complex equity products and contribute to the seamless execution of month-end tax postings and reporting. Elevate your career with us and be at the forefront of tax data excellence!
As TAX Asset Class Control (TAX ACC) Analyst, you will be performing many controls, checks, analysis and reconciliations with a focus on the data surrounding Tax. The common functions and activities owned by Tax ACC include but are not limited to the following: extracting the raw data from various systems, calculation of tax related to Equity products such as stocks, bonds, & derivatives, balance sheet reconciliation and substantiation, manual accounting/bookings to the general ledger, audit support for the Corporate Tax Organization, and executing the month end close in regards to timely tax postings and reporting.
Job responsibilities
- Support Tax Organization by understanding data, calculating tax, and postings to the general ledger
- Work closely with line of business controllers, product controllers, corporate tax, & project managers.
- Partner with various FFC teams globally to centralize Tax related activities to Tax ACC
- Manage month end, quarter end, and year end activities related to Tax postings in the general ledger
- Hands-on engagement in multiple projects, which includes proactively identifying process enhancements and work with stakeholders enact change in a timely manner
- Perform various control procedures & reconciliations to ensure the integrity of reported financials
- Ability to proactively identify process and/or infrastructure enhancements and work with stakeholders enact change
- Mobilize change wherever possible in order to simplify processes and enhance controls
Required qualifications, capabilities, and skills
- Basic understanding of financial products such as stocks, bonds, & derivatives
- Good understanding of General Ledger accounting concepts (Balance Sheet, P&L)
- Excellent command of business English and communication skills (both written and spoken)
- Self-driven attitude with good organizational and problem-solving skills
- Ability to critically challenge with the goal of identifying control issues
- Comfort liaising with business and partners while building and maintaining strong working relationships
- Bachelor’s degree in Accounting, Finance, Economics or within other numerical field
- Minimum of 1 - 3years’ experience in Banking, Accounting or other Finance function
Preferred qualifications, capabilities, and skills
- Advanced Excel skills and proficiency in working with numbers
- Previous Tax experience is preferable