P&L Product Control Analyst

PERSOL SINGAPORE PTE. LTD.

Singapore

On-site

SGD 60,000 - 90,000

Full time

14 days+
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Job summary

PERSOL Singapore Pte Ltd is seeking a finance operations professional to support end-of-day P&L production, data extraction, validation, and preliminary variance analysis for selected instruments. You will ensure accuracy across systems and contribute to control documentation.

You will collaborate with Front Office traders and Middle Office to resolve P&L queries, perform daily checks for data integrity, and assist month-end close activities including journal entries and balance substantiation.

Qualifications

  • Degree in Finance, Business, or related field.
  • Prior experience in banking operations, risk, compliance, or finance is an advantage.
  • Strong attention to detail and problem-solving skills.
  • Ability to work efficiently in a fast-paced environment.
  • Proficiency in banking systems and Microsoft Office.

Responsibilities

  • Actively participate in the end-of-day P&L production process with data extraction, validation, and variance analysis.
  • Run daily checks across systems to identify and resolve discrepancies in trade booking and market data.
  • Document and update desktop procedures for core product control tasks in line with control standards.
  • Liaise with Front Office traders and Middle Office to resolve P&L queries, documenting resolutions for audits.
  • Assist in month-end close activities, including journals, balance sheet substantiation, and preliminary close tasks.

Skills

Attention to detail
Problem-solving
MS Office proficiency

Education

Bachelor's degree in Finance or Business

Tools

Microsoft Excel
Banking systems

Job description

PERSOL Singapore Pte Ltd is seeking a finance operations professional to support end-of-day P&L production, data extraction, validation, and preliminary variance analysis for selected instruments. You will ensure accuracy across systems and contribute to control documentation.

You will collaborate with Front Office traders and Middle Office to resolve P&L queries, perform daily checks for data integrity, and assist month-end close activities including journal entries and balance substantiation.

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