Job Description:
This role is within the Corporate Treasury Controller team, which is part of the Americas Legal Entity Controller group within the Global Financial Control organization. The team is responsible for the accounting for various Corporate Treasury products, including debt securities and long-term debt, as well as the hedge accounting associated with these products. This role is specifically responsible for providing accounting and finance support for the debt securities portfolio.
Key Job Functions:
Ensuring the accuracy of the books and records for Corporate Treasury’s Debt Securities portfolio
Analyze the accounting and financial implications of new products and significant and/or unusual transactions
Review data submissions for regulatory/SEC Reporting
Execution of key controls in compliance with SOX
Ensure robust documentation of controls & procedures
Identify and escalate control issues, errors and deficiency opportunities
Drive process improvement initiatives to streamline reporting
Training, supervision and mentoring of 2-3 team members
Required Skills:
10 Years of Accounting/Finance Experience
Strong communication, analytical and presentation skills
Financial services experience, specifically related to hedging and investments
Bachelor’s Degree in Accounting
Advanced Excel; Data Manipulation
Desired
Financial Regulatory Reporting Experience
Experience with financial systems such as SAP or Oracle
CPA
Shift:
1st shift (United States of America)Hours Per Week:
40
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