إنتهت صلاحية هذا الإعلان الوظيفي لقد إنتهت صلاحية هذا الإعلان الوظيفي و هو غير مفتوح حاليا لأي طلبات عمل.
إرفاق
DIB
دبي, الإمارات
تم النشر 2025/12/10 12:51:27
تنتهي 2026-02-09
الرقم المرجعي: JB1100016466
وصف الوظيفة
Support in the daily execution of middle office controls, with a strong focus on data accuracy, reconciliation, and routine reporting.
- Assist in the daily operation and maintenance of the Treasury Management System (TMS). Support system testing (UAT) for upgrades and enhancements and ensure data integrity within the system architecture.
- Perform initial independent valuations of vanilla derivatives (FX Forwards, Swaps, IRS) using market data inputs. Gather necessary inputs and run models for CVA/DVA computation under the Manager’s guidance.
- Execute daily P&L calculation and comparison routines. Analyze variance drivers at the trade level and escalate significant issues to the Manager promptly.
- Prepare data workpapers for IFRS compliance disclosures. Compile daily/weekly reports necessary for Basel III monitoring (LCR/NSFR inputs).
- Execute daily reconciliations of Front Office positions against Back Office and Custody records. Monitor custody positions daily, investigate reconciliation breaks, and ensure timely resolution.
- Maintain and update all Standard Operating Procedures (SOPs) for daily tasks. Ensure all activities are properly documented for audit trails. the line Manager.
- All the above accountabilities include but are not limited to any additional/new tasks or responsibilities the line Manager assigns.
الكفاءات/المهارات
Education
CA / CPA / ACCA / FRM (or equivalent)
Work Experience
Hands on Senior level experience / similar position experience of No less than 8 -10 years (very specific to Treasury Middle office – Accounting related)
تفاصيل الوظيفة
مكان الوظيفة
دبي, الإمارات
الدور الوظيفي
المحاسبة/الشؤون المالية
DIB
بنوك
دبي, الإمارات العربية المتحدة
500 موظف أو أكثر
+971.5.012.34567