Analyst, Finance & Risk

Panmure Gordon & Company
Job title: Analyst, Finance & Risk
Company: Panmure Gordon & Company
Job description: The RoleTo support the Finance & Risk team with day-to-day analysis and reporting. Assist with financial control, FP&A and management accounting responsibilities. Contribute to the delivery of value-add risk management across the business.ResponsibilitiesWork closely with the Finance team to:
- Ensure accurate management of financial transactions and reporting.
- Responsible for invoicing of Research revenue to client, for both fixed and discretionary research revenues.
- Booking of Research revenue journal, including deferrals and accrual.
- Booking of bank entries and perform bank reconciliations.
- Perform daily reconciliations and revenue flash reporting.
- Complete monthly journals and reconciliations, including maintaining the fixed asset register.
- Review month end accounts and post prepayments.
- Extract and manipulate data from systems and reports to produce value-add MI.
- Liaising across the Finance team and the business to validate data.
- Compare budget with P&L actuals, and investigate potential errors and variances in data/budget/P&L.
- Provide ad hoc analysis, deliver projects and help with day-to-day problem solving.
Support the Risk Manager to:
- Produce and analyse daily, monthly and quarterly reports for stakeholders across market, credit and operational risk areas for new and existing business.
- Assist with the preparation of risk committee reports and papers.
- Assess and measure appropriate risk levels and controls across the business.
- Prepare for ongoing regulatory changes for risk and capital planning.
- Ensure appropriate risk and capital procedures and policies are in place.
- Promote a risk aware culture across the business.
- Provide ad hoc support to the Risk Manager as and when needed.
Requirements
- Part qualified or fully qualified accountant (ideal) or relevant working experience.
- Industry knowledge of financial services or investment banking preferable
- Background in financial analysis and able to demonstrate commercial acumen.
- An interest in financial risk management and regulatory capital and developing further expertise in this area.
- Strong analytical and modelling skills, working knowledge of Excel and relevant systems.
- A high degree of energy and enthusiasm with an eagerness to learn and develop.
- A critical eye and a desire to understand and analyse detail.
- Excellent communicator and team player.
- Flexible, able to multi-task and prioritise effectively to drive results.
Expected salary:
Location: London
Job date: Sat, 29 Mar 2025 05:48:14 GMT
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