Work alongside front office teams to understand structured transactions and lead new deal execution and restructures
Review and prepare timely and accurate daily deal P and amp;L reports
Oversee month end close for specific transactions and legal entities from US GAAP and IFRS perspective
Perform monthly review of the tax postings made across all MP-finance controlled entities
Review and prepare IFRS statutory accounts for relevant entities
Act as the primary contact with auditors on the audit of various financial statements
Work closely with tax team and provide required tax reconciliations for structured transactions within the US
Review the management accounting P and amp;L pack for the US business
Collaborate with Financial Control, Operations, Tax and other areas of Product Control
Participate in various Business Initiatives and Projects
Experience:
An insightful financial professional who can interpret a large complex business and express their insight through excellent written and verbal communication skills
Ability to get things done and deliver superior results, with advanced facilitation, influence and relationship skills
Continuous improvement mentality and proven ability to promote change while maintaining a positive work environment
Strong people leadership with proven skills in talent development, coaching and educating
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