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Join JPMorgan as a Financial Controller and be a part of a dynamic team that provides accuracy and excellence in the firms financial record-keeping. With a focus on balance sheet reconciliation general ledger reporting and financial data consolidation you will have the opportunity to bring your analytical skills and attention to detail to the forefront while making a real impact on the success of the business.
As a Financial Controller within the Corporate & Investment Bank at JPMorgan you will primarily focus on ensuring the accuracy integrity and timeliness of the Firms books and records with an emphasis on general ledger operating systems and infrastructure controls across the entire lifecycle of the business. Some of the most common functions and activities you will own are balance sheet reconciliation / certification balance sheet substantiation and General Ledger Reconciliation and Substantiation (GLRS) reporting and governance inter-entity control & governance manual accounting / bookings to the General Ledger and operating systems and the month end close process and coordination. Primary Responsibilities Ensure the accuracy and validity of line of business general ledger accounts including adherence to the firm-wide General Ledger Reconciliation & Substantiation (GLRS) standards Ensure adherence to Profit & Loss and Balance Sheet controls owned by Financial Control including identifying and implementing opportunities for efficiency Analyze communicate and resolve material variances between the general ledger and upstream systems as defined by line of business Manage the consolidation of the firms financial data at month-end Oversee preparation of the firms primary financial statements at quarter-end for use in the earnings release and SecuritiesExchange Commission filings Manage data requests into and out of the Financial Reporting group serving as liaison between data suppliers and data users including line-of-business and legal entity controllers Manage intercompany eliminations a key component of the financial consolidation process.
Job Responsibilities:
Support a specific line of business within the Corporate & Investment Bank such as Currencies & Emerging Markets Rates Credit Trading Securitized Products Group Equities and Risk
Work closely with various line of business controllers middle office business managers technology and operations
Understand end-to-end flow of trading activities booking models product configurations and trade economics to apply relative accounting policies and enhance control framework
Ensure the integrity and accuracy of line of business income statement and balance sheet at month quarter and year-ends
Engage in line of business initiatives and projects be the financial control subject matter expert
Proactively identify process and/or infrastructure enhancements and work with stakeholders to enact change
Oversee preparation of the firms primary financial statements at quarter-end for use in the earnings release and Securities Exchange Commission filings and Control post-closing entries and consolidation adjustments
Perform various control procedures to ensure the integrity of reported financial results
Manage intercompany eliminations a key component of the financial consolidation process
Enhance the overall control environment around the financial reporting function
Mobilize change wherever possible in order to simplify processes and enhance controls
Required qualificationsskills and capabilities:
1 years accounting finance or industry experience
Bachelors degree
Basic understanding of financial instruments and accounting concepts
Basic understanding of industry standards and regulations
Required Experience:
Chief
Full-Time