Bank Jobs in London, ON
Product Controller (Investment Bank – Senior AVP / Junior VP – Fixed Income / Rates)
The Edge PartnershipAny Location- Promoted
Bookkeeper
Adecco CanadaLondon, Ontario, Canada- Promoted
Privacy Consultant
IFG International Financial Group LtdON, CanadaDirector of Finance
Meridia Recruitment SolutionsOntario- Promoted
Managing Director, Supervision
The Bank of CanadaON, Canada- Promoted
technical sales specialist
Scorpium Inc.Golden Horseshoe, ON, Canada- Promoted
general manager, sales - trade, broadcasting and other services
Griffen Manimpex LtdGolden Horseshoe, ON, Canada- Promoted
contact centre manager
DOCUdavit SolutionsGolden Horseshoe, ON, Canada- Promoted
Managing Director, Supervision
Women in PaymentsON, Canada- Promoted
Senior QA Engineer
HaventreebankON, Canada- Promoted
Underwriter, Insurance Lending Solutions ( 1 Year Contract )
EQ Bank | Equitable BankOntario, Canada, Canada- Promoted
executive secretary (except legal and medical)
Enoch Consulting GroupGolden Horseshoe, ON, Canada- Promoted
SOX Compliance and Financial Controls Lead
VersaBankLondon, ON, Canada- Promoted
Banking Advisor
National Banklondon, ON, CanadaSr. Relationship Manager - Financial Institutions (hybrid)
MonerisOntario- Promoted
Sr. Accountant
Robert HalfLondon, ON, CABank of Canada | Banque du Canada External Deputy Governor | Sous-gouverneur externe ou sous-gouverneure externe
BoydenON, CAAccounts Receivable Cash Application Analyst
EMCO CorporationLondon, Ontario, Canada- Promoted
Engineering Lead
ScotiabankGolden Horseshoe, ON, CanadaProduct Controller (Investment Bank – Senior AVP / Junior VP – Fixed Income / Rates)
The Edge PartnershipAny Location- Full-time
Key responsibilities
Review P&Ls produced by offshore team, including source data, ledger reconciliation, attribution, and commentaries.
Identify and resolve all breaks and issues.
Produce and review month-end close processes.
Close books : clear breaks, post journals, provide commentary on material P&L / BS moves.
Perform Balance Sheet and Account ownership substantiation.
Perform month-end valuations, including IPV and Reserves computation.
Perform quarterly tasks, including Levelling.
Review new deals with deal teams, Accounting Policy, and Regulatory Policy.
Ensure appropriate accounting and regulatory treatment and assess impact on firm’s disclosures.
Handle local regulatory, internal, and external audit requirements.
Work towards closure of audit findings.
Maintain a strong internal control environment.
Build and maintain networks with the Business Unit and other divisions.
Role requirements
Ideally a qualified accountant, or degree holder in Accountancy or Finance
5+ years of Product Control experience
Fixed Income and FX product experience would be strongly preferred