A key role within the CFO Group in Paris, responsible for reviewing financial products, market risk profiles, and providing critical financial insights. The ideal candidate will work closely with trading colleagues to optimize business performance and ensure robust financial controls and reporting.
This role involves daily/monthly Profit & Loss and Balance Sheet reviews, executing valuation control documentation, and ensuring comprehensive financial reporting across EU legal entities. The primary focus is on maintaining rigorous financial oversight and supporting global markets trading operations.
Candidates must have experience in international banking with strong accounting knowledge, particularly in financial and regulatory reporting. Essential requirements include valuation analysis expertise, complex financial product understanding, advanced Excel skills, and the ability to work effectively in a matrix global organization with exceptional attention to detail.
Bank of America offers a competitive compensation package including a retirement plan, mandatory medical coverage, life and disability insurance, and opportunities for professional development. The role provides exposure to senior leadership, potential for career progression, and a dynamic work environment with opportunities to build a professional network in global financial markets.