Elevate your opportunities
At Butterfield, we provide specialised international financial services. Operating in multiple jurisdictions, we focus on results, value relationships, and celebrate success. If this sounds like your kind of company, then consider this opportunity to become part of a collaborative team of professionals at a world-leading, independent offshore Bank and trust company.
Assistant Manager Finance
To prepare and take an active role in the production of financial and management reporting, regulatory reporting and planning requirements for Butterfield Bank (Guernsey) Limited (BBGL) and provide on-going financial estimates of performance against plan.
Your responsibilities will include:
- Produce, deliver and assist in the production of management accounts, group reporting packs, regulatory reports and supporting information for BBGL in accordance with the department/client timetable.
- Assist in the production of draft commentaries for management review to monthly management accounts from/with department heads to ensure relevance and accuracy prior to publication.
- Assist in the preparation of statutory financial statements and tax computations/returns on the company and consolidated level to enable submission to relevant advisors and authorities in line with stipulated deadlines.
- Develop, implement and enhance procedures.
- Assist in the preparation of financial plans/budgets and forecasts for BBGL as appropriate.
- Review the reconciliations of nostro and impersonal accounts to ensure they are:
- Accurate
- Complete
- Properly authorized
- Outstanding items cleared on a timely basis
- Oversee the running of the purchase ledger process including authorisation of entries and invoices and management of workflows.
- Produce/review ad-hoc financial and regulatory analysis as required.
Your qualifications and skills include:
- ACCA or CIMA qualified with a minimum of two years post qualification experience ideally in a financial services organisation.
- At the least, an intermediate to advanced level of skill in Excel to enable the construction and manipulation of complex spreadsheets is required.
- Previous working experience and knowledge of reporting under US GAAP, UK GAAP or IFRS accounting methodologies.
- Experience of working within a financial control environment.
- Previous working experience of accounting and banking systems such as BM+, T24 and SAP.
- Knowledge of the GFSC regulatory reporting requirements and Basel III is required.
Does this sound like you?
All applications should be submitted via e-mail to [email protected]
Let’s start a conversation.