Financial Reporting Associate — Growth & AI Support

DBS Bank

Hong Kong

On-site

HKD 300,000 - 500,000

Full time

12 days ago
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Job summary

DBS Bank in Hong Kong (One Island East) is seeking a Finance professional in Group Finance to support general ledger reconciliation, month-end closing, and regulatory reporting. The role emphasizes accuracy, control, and cross-functional collaboration within a dynamic banking environment.

You will handle inter-company reconciliations, variance analysis, and the preparation of reporting schedules for group reporting.

Qualifications

  • Bachelor's degree holder with major in Accounting, Finance, or Business Administration.
  • With more than 2 years of work experience; audit background or financial services experience welcomed.
  • Foundational knowledge of banking products and their accounting and regulatory reporting requirements.
  • Proficiency in Microsoft Office; strong interest in process improvement and Gen-AI tools.

Responsibilities

  • Perform general ledger to source reconciliation and support core financial accounting and control duties.
  • Execute month-end closing procedures, including journal entries and supporting schedules for ledger posting.
  • Assist in financial control activities, including inter-company reconciliations and investigation of discrepancies.
  • Analyze material variances in financial results during month-end closing and document explanations.
  • Prepare schedules and reporting packages to fulfill group reporting requirements.
  • Participate in Finance projects to drive improvements in workflows and processes.
  • Prepare HKMA regulatory returns and inputs for other regulatory filings as required.
  • Support process streamlining and Gen-AI initiatives to enhance efficiency and maintain robust internal controls.

Skills

MS Office
Gen-AI tools
Process improvement
Ability to work under pressure

Education

Bachelor's degree in Accounting/Finance/Business Administration

Job description

DBS Bank in Hong Kong (One Island East) is seeking a Finance professional in Group Finance to support general ledger reconciliation, month-end closing, and regulatory reporting. The role emphasizes accuracy, control, and cross-functional collaboration within a dynamic banking environment.

You will handle inter-company reconciliations, variance analysis, and the preparation of reporting schedules for group reporting.

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