- Develop the team to adopt “owner’s mind set”, work independently, and effectively manage timelines
- May be required to provide accounting analyses or research on critical and complex issues which may include variance analysis of accounting transactions related to the products supported.
- Develop subject matter expertise in all aspects of the products under responsibility including operational aspects of a particular accounting transaction.
- Participate in or manage function specific projects as needed
- Ensure high quality and completion of deliverables within the committed timeframe. Team deliverables revolve around;
Daily:
- Monitor daily reconciliations, proofs, and ensure the breaks are tracked to close.
- Ensure the FX WSS FO reports are in sync to the GL
- Prepare and review daily FX PNL across the North America region and work closely with the Traders to get confirmations and resolve any open issues.
Weekly:
- Prepare Regulatory reporting FC 1 and Weekly Fin 39 for Open FX exposures
- Prepare and journalize the Cash collateral netting entry for FX Collateral exposures
Monthly:
- Coordinate month-end close including prepare manual journal entries and export accounting system reports
- Review/Prepare account reconciliations and certification
- Perform month end tie outs for various products with FX source systems with the ledger
Quarterly:
- Prepare Regulatory, SEC
- Perform CCAR CFO attestation control testing
- Perform SOX control testing
Ad-Hoc:
- Prepare and update process narratives/procedures and flow charts
- Response to internal and external requests including variance analysis and inquires
- Participate in Ad Hoc projects and new transactions
- General ledger account requests
- Accounting systems maintenance and upgrade
- Responsibility for ongoing process improvements
- Assist in implementation of the GAO process re-enginerring and automation efforts
About State Street
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