Balance Sheet Investments
6 months ago
Job Title: Balance Sheet Investments - Associate Director
Contract Type: Permanent, full-time
Location: London, St Pauls
Department: Group Finance
Reporting to: Balance Sheet Investments - Director
Position Summary
The Financial Control team consists of 19 employees, based out of London, responsible for the preparation and review of all internal and external financial and regulatory information for the ICG Group.
The Senior Group Accountant is a member of the Group Financial Control team, reporting to the Balance Sheet Investments lead. The Group Financial Control team are responsible for the internal and external financial and regulatory reporting prepared for the Board, Shareholders and regulators of the ICG Group. This includes, but is not limited to, the quarterly financial statements, monthly management reports and regulatory returns. In addition, the team supports management and the wider business in assessing the impact of accounting and business developments.
The individual will actively support the Balance Sheet Investments lead and Head of Finance Operations in developing our global valuation governance process and develop a strong control framework around the review and challenge of the groups balance sheet Investments. Working actively with our Fund investment teams to ensure valuation inputs are accurate and delivered on a timely basis. In addition the role extends in ensuring the Financial Control function operates to the highest level of quality, delivering timely and accurate financials and management information to its key internal and external stakeholders. The individual will also be expected to support the implementation on several key projects, drive efficiencies within finance and build a solid scalable infrastructure on which to support a fast-growing business.
Primary Responsibilities
The responsibilities of the role include, but are not limited to:
Global Valuation Committee- Support the quarterly Global Valuation governance process (the “GVC”), executing the framework to feed in inputs from all relevant stakeholders and Fund Investment Committees, as it pertains to the PLC’s balance sheet investments into the ICG Funds, Direct Investments into companies, and CLO debt and equity investments.- Develop a knowledge through time of the various key Investments/Assets held on the PLC’s balance sheet, across the various strategies of Corporate Investments, Capital Markets, Real Assets (Real Estate and Infrastructure Equity), and Private Equity Secondaries.
Financial Control activities- Support on several key finance and wider ICG Group projects.- Deliver timely and accurate internal and external financial, regulatory and management information for the areas within role responsibility.- Deliver timely and accurate quarterly business unit dashboards.- Deliver timely and accurate statutory reporting for the Group and subsidiary entities.- Review monthly management accounts and monitor regulatory requirements for ICG regulated entities.- Ensure a robust control environment underpins the reporting deliverables.- Ensure the appropriate accounting treatment for all aspects within role responsibility.- Build and maintain a strong working relationship with all internal and external stakeholders.- Year end and interim Group financial statements, all related disclosures, and related shareholder materials.- Face off to the External Auditors.
Key Requirements/ Qualifications
You will have demonstrable experience of:
- Prior Valuation governance and experience of navigating and challenging the valuations of illiquid investments across the Private Equity/Private markets universes would be highly desirable, given the Valuation coordination aspect of the role.- Extensive PQE in either/and: Financial Reporting, Financial Regulatory Reporting or Financial Control.- Qualified Accountant
- ACA or equivalent.- Past Organisations: Publicly listed organisations, Asset Managers, PE & Venture Capital, Other Financial Services and / or Tier I Consulting/Professional Services firms
Our Global Benefits Framework is centred around these 3 key attributes:
- Wellbeing - Supporting your mental, physical and financial wellbeing as well as your lifestyle needs.- Inclusivity - Fit for purpose and competitive, no matter who or where you are.- Longevity - Long Term and sustainable in design
- _._
Why ICG?
ICG (Intermediate Capital Group) is a FTSE-listed, FCA-regulated alternative asset manager creating sustainable value by partnering with ambitious businesses. We have over 30 years' history and today we manage $68.5bn of assets and invest across the capital structure. The firm employs over 575 people in 15 countries around the world and is well positioned for growth and benefits from the long-term trend of increased demand for alternative investments.
To make the most of your career at ICG, you will be inquisitive, self-motivated, engaged, collaborative and agile. ICG is a place where we are all dedic
-
Balance Sheet Governance Specialist
3 weeks ago
London, Greater London, United Kingdom Hays Senior Finance Full timeJob DescriptionAbout the RoleYou will join Hays Senior Finance as a Balance Sheet Governance Senior Manager, working with one of the premier international banking organisations in the world. In this 10-month contract role, you will be responsible for collaborating with various functions to ensure adherence to balance sheet policies and providing guidance on...
-
Senior Accountant
3 weeks ago
London, Greater London, United Kingdom Goldman Sachs Full timeAbout the RoleWe are looking for a Senior Accountant - Funding and Balance Sheet to join our team in London. The successful candidate will be responsible for managing the firm's liquidity, capital, and risk, and providing financial control and reporting functions.The ideal candidate will have recent experience as a qualified accountant, with strong technical...
-
Balance Sheet Strategist
2 weeks ago
London, Greater London, United Kingdom TSB Bank plc Full timeJoin our team of experts at TSB Bank plc as a Senior Financial Risk Management Professional. This is a challenging and rewarding opportunity to work in the heart of London, utilising your expertise in balance sheet management and liquidity risk to drive business growth.The ideal candidate will have a good understanding of macro-economics and drivers of...
-
Services Balance Sheet Manager
2 weeks ago
London, Greater London, United Kingdom Citigroup Inc. Full timeCitigroup Inc. is seeking a highly skilled professional to join its Balance Sheet and Capital Management team as a Services Balance Sheet Manager. This role will be based in London and reports directly to the Head of Balance Sheet and Capital Management.The ideal candidate will have a strong understanding of financial markets and regulations, as well as...
-
Balance Sheet Risk Management
6 months ago
London, United Kingdom Société Générale Full time**Responsibilities**: **Description of the Business Line or Department**_ _ The Finance Division (DFIN) is in charge of: - Steering the financial and budgetary strategy of the Group, and its investment and development policy; - Measuring and analysing the profitability of the activities portfolio (clients, businesses, geographies) and the use of all...
-
Director of Balance Sheet Optimization
3 weeks ago
London, Greater London, United Kingdom Direct Line Group Full timeAbout Us">At Direct Line Group, we combine industry expertise with talented individuals to drive innovation and excellence. Our goal is to become Britain's best retail general insurer.As Head of Capital Management and Reinsurance, you will be responsible for optimising our balance sheet structure through strategic decisions on equity, reinsurance, and debt...
-
Temp Balance Sheet Governance Manager
1 week ago
London, United Kingdom Hays Full timeYour new companyWorking for one of the premier international banking organisations in the world, you will join the Balance Sheet Governance team as a senior manager over a 10-month contract.Your new roleYou will be responsible for lasing with all relevant functions on all Balance Sheet matters, ensuring adherence to Balance Sheet policies and providing...
-
Temp Balance Sheet Governance Manager
1 week ago
London,, UK, United Kingdom Hays Full timeYour new companyWorking for one of the premier international banking organisations in the world, you will join the Balance Sheet Governance team as a senior manager over a 10-month contract.Your new roleYou will be responsible for lasing with all relevant functions on all Balance Sheet matters, ensuring adherence to Balance Sheet policies and providing...
-
Temp Balance Sheet Governance Manager
1 week ago
London Area, United Kingdom Hays Full timeYour new companyWorking for one of the premier international banking organisations in the world, you will join the Balance Sheet Governance team as a senior manager over a 10-month contract.Your new roleYou will be responsible for lasing with all relevant functions on all Balance Sheet matters, ensuring adherence to Balance Sheet policies and providing...
-
London, United Kingdom TSB Bank plc Full timeJob Title: Balance Sheet and Liquidity Buffer Senior Manager Function: Balance Sheet Management, Treasury Location: London Bishopsgate - Hybrid Working Salary: £Competitive plus excellent benefits At TSB we're all here to give money confidence to our customers and communities. Wherever you work in TSB you can make a real difference to your career, our...
-
London, United Kingdom TSB Bank plc Full timeJob Title: Balance Sheet and Liquidity Buffer Senior Manager Function: Balance Sheet Management, Treasury Location: London Bishopsgate - Hybrid Working Salary: £Competitive plus excellent benefits Closing date: 18 November 2024At TSB we're all here to give money confidence to our customers and communities. Wherever you work in TSB you can make a real...
-
Temp Balance Sheet Governance Senior Manager
3 weeks ago
London, United Kingdom Hays Senior Finance Full timeTemp Balance Sheet Governance Senior Manager Employer Location City of London, London, England Salary Hourly Rate Closing date 19 Dec 2024 View more categoriesView less categories Sector Salary band , Contract type Hours Where will they be working You need to or to save a job. Job Details Your new company Working for one of the premier...
-
Temp Balance Sheet Governance Senior Manager
2 days ago
London, United Kingdom Be-IT Ltd Full timeYour new companyWorking for one of the premier international banking organisations in the world, you will join the Balance Sheet Governance team as a senior manager over a 10-month contract.Your new roleYou will be responsible for liaising with all relevant functions on all Balance Sheet matters, ensuring adherence to Balance Sheet policies and providing...
-
Temp Balance Sheet Governance Senior Manager
5 days ago
London, United Kingdom Hays Senior Finance Full timeYour new company Working for one of the premier international banking organisations in the world, you will join the Balance Sheet Governance team as a senior manager over a 10-month contract. Your new role You will be responsible for liaising with all relevant functions on all Balance Sheet matters, ensuring adherence to Balance Sheet policies and...
-
Temp Balance Sheet Governance Senior Manager
3 weeks ago
London , London, UK, United Kingdom Hays Accountancy and Finance Full timeYour new company Working for one of the premier international banking organisations in the world, you will join the Balance Sheet Governance team as a senior manager over a 10-month contract.Your new role You will be responsible for lasing with all relevant functions on all Balance Sheet matters, ensuring adherence to Balance Sheet policies and providing...
-
Temp Balance Sheet Governance Senior Manager
3 weeks ago
London, United Kingdom Hays Accountancy and Finance Full timeYour new company Working for one of the premier international banking organisations in the world, you will join the Balance Sheet Governance team as a senior manager over a 10-month contract.Your new role You will be responsible for lasing with all relevant functions on all Balance Sheet matters, ensuring adherence to Balance Sheet policies and providing...
-
London, Greater London, United Kingdom Hays Accountancy and Finance Full timeCompany Overview:Hays Accountancy and Finance is pleased to present an exciting opportunity for a seasoned professional to join our team as a Financial Governance Manager, specializing in Balance Sheet Oversight. This 10-month contract will provide a unique chance to work with one of the world's premier international banking organizations.Job Description:The...
-
Citi Treasury Investments
6 months ago
London, United Kingdom 11037 Citibank, N.A. United Kingdom Full timeRole Introduction / Overview: This position will join the Citi Treasury Investments (CTI) Governance and Business Initiatives team within the Finance Organisation. Senior Project manager role would be responsible for managing the execution of CTI’s initiatives that focuses on balance sheet management , FX and interest rate risk management, funding,...
-
Treasury Manager
2 weeks ago
London, Greater London, United Kingdom TSB Bank plc Full timeWe are seeking a highly skilled Treasury Manager to join our team at TSB Bank plc. This is an exciting opportunity to work in the heart of London, leveraging your expertise in balance sheet management and liquidity risk to drive business growth.The ideal candidate will have a deep understanding of macro-economics and drivers of balance sheet performance,...
-
London, United Kingdom Goldman Sachs Full timeOUR IMPACT The Goldman Sachs Group is a bank holding company and a leading leading global financial institution that delivers a broad range of financial services to a large and diversified client base that includes corporations, financial institutions, governments and individuals. Founded in 1869, the firm is headquartered in New York with offices in major...