Senior Associate - Regulatory Reporting, Liquidity Team
Senior Associate, Liquidity Reporting
Join our Group Regulatory Reporting (GRR) team in Martin Place and contribute to the success of a high performing Liquidity reporting team. Your demonstrated success in a role within financial institutions or big four with experience related to reporting or finance will adequately prepare you for the role in this team. You will be responsible for the preparation and management of daily and quarterly liquidity reporting to APRA. In addition, you'll provide subject matter expertise on liquidity topics for internal stakeholders.
As a permanent Senior Associate in the team, you will have diverse responsibilities while challenging yourself on a daily basis and expanding your skill set in a team that supports flexible working arrangements to suit your needs outside of work. Your main responsibility will be to ensure complete, accurate and timely production of liquidity reporting to APRA, as well as analysis to internal stakeholders including Senior Management on liquidity related matters. You will also have the opportunities to work on change initiatives and automation projects within GRR.
Independent drive, analytical skills and attention to detail is a key part of this role. You will bring knowledge of, and a genuine interest in liquidity reporting and analysis, and be highly motivated and organised with strong interpersonal skills. An Accounting or Finance degree (or similar) with at least 2+ years' post qualified experience is a requirement. Demonstrated experience in financial services or investment banking with previous exposure to liquidity reporting as well as the completion (or ambition to complete) of a Chartered Accountant designation (or equivalent) is an asset, but not a requirement. You will have excellent verbal and written communication skills across a variety of different audiences and be comfortable with adapting to change regularly.
If you are motivated by the opportunity to work in a high performing team in a fast-paced environment, we would like to hear from you.
The Financial Management Group provides financial, tax and treasury services to all areas of Macquarie. The group is focused on providing strategic analysis and advice to Macquarie's businesses and senior management, managing Macquarie's funding, liquidity and capital position, ensuring Macquarie continues to meet regulatory and compliance obligations and managing Macquarie's corporate communications and investor relations.
Find out more about Macquarie careers at www.macquarie.com/careers
Macquarie understands the importance of diversity and inclusion - our long history of success has come from being different. At Macquarie we value the innovation and creativity that diversity of thought brings. The one thing we all have in common is our focus on high performance. If you're capable, motivated and can deliver, we want you on our team. Advertised:
22 Oct 2019 AUS Eastern Daylight Time Applications close: