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<pre>Array ( [var] => cut_url ) </pre> Resume for Richard B. for Accountant / Bookkeeper / Financial Services in Kobenhavn, Denmark. Search More Resumes for Accountant / Bookkeeper on Resumark.com #DMU9ETMIZ
 

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Resume for Richard B. for Accountant / Bookkeeper / Financial Services in Kobenhavn, Denmark




Occupation: Accountant / Bookkeeper Industry: Financial Services
Country: Denmark City: Kobenhavn
State: Kobenhavn ZIP: 555



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| |
|PHONE + • EMAIL |
RICHARD A. B.
|PROFESSIONAL QUALIFICATION |
| Chartered Institute of Management Accountants |
|Associate of CIMA |
|Chartered IFRS Accountant |
|EDUCATION |
| | University of California Santa Barbara, California, USA |
| |MA Economics |
| |GPA Grade Point Average . |
| | University of Exeter Exeter, Devon, UK |
| |BSc Mathematics |
| |Awarded Upper Second, i |
|WORK EXPERIENCE |
| | – Morgan Stanley |
| | – |
| |London, UK |
| |Financing Arbitrage Controller – Vice President |
| |Financing Arbitrage business area comprised of three trading desks: |
| | Yield Enhancement – Providing tax efficient dividend payments to |
| |clients |
| | Equity Forwards – Providing dividend levels for clients through |
| |trading derivatives |
| | Global Structured Products – Bespoke tax efficient solutions for |
| |clients |
| |Managed team of controllers. |
| |Project managed Adjustment Reduction, Tax Provision and P&L |
| |Attribution projects. |
| |Worked closely with a project team to pilot the post Cash |
| |Traceability reporting with the Fin Arb desk incorporating Liquidity,|
| |Capital and business level Balance Sheet analysis. |
| |Renovated the Daily P&L report production to reduce processing times |
| |by hours per day. |
| |Renovated the Month End Balance Sheet Reconciliation process for |
| |control and efficiency. |
| |Created a granular level P&L report that enabled improved trading |
| |decisions. |
| |Established a team training scheme and taught technical and soft |
| |skills classes |
| |Chaired the Social Committee and Product Control IT Committee. |
| | |
| | |
| |London, UK |
| |Global Structured Products Controller – Senior Manager |
| |Gained deep insight into financial markets tax rules across multiple |
| |tax jurisdictions. |
| |Advised the desk on how to tailor structured trades to gain |
| |beneficial accounting treatment. |
| |Managed all newly executed structures through New Product Approval |
| |process. |
| |Produced and reviewed the Financial Statements for the multiple legal|
| |entities involved in the trading structures across US, IFRS, UK and |
| |Luxembourg GAAPs. |
| |Managed the Daily P&L production process. |
| | |
| | – New York, USA |
| |Vanilla Equity Derivatives Controller – Manager |
| |Managed team of controllers. |
| |Established control framework for Dispersion and Variance Swap |
| |portfolio. |
| |Gained expert knowledge on trader’s daily marking system and process.|
| | |
| |Deployed P&L production role to nonhub location, and acted as a |
| |consultant for future deployed roles. |
| |Worked closely with valuation controllers to improve transparency of |
| |mark review variances with the Business Unit. |
| | |
| | – New York, USA |
| |Exotic Equity Derivatives Controller Associate |
| |Produced Daily P&L reports and commentary for Exotics portfolio. |
| |Streamlined the Daily P&L process to reduce production times and |
| |improve controls. |
| |Gained expert knowledge of greek P&L attribution for exotic equity |
| |derivatives. |
| |Calculated bid/offer, concentration and model Valuation Adjustments. |
| |Produced US GAAP disclosures, including FAS , FAS , FIN and |
| |FIN . |
| | |
| | – New York, US |
| |Vanilla Equity Derivatives Controller – Associate |
| |Produced Daily P&L reports and commentary for Index, Single Name, |
| |Variance Swap and Market Making portfolios. |
| |Performed Month End P&L and Balance Sheet reconciliations. |
| |Performed Monthly Mark Review for cash and derivative products. |
| | |
| | ING Bank London, UK |
| |Equity Markets Product Controller Analyst |
| |Produced Daily P&L reports and commentary for Securities Lending, |
| |Equity Swaps and Convertible Bonds businesses. |
| |Performed Month End P&L and Balance Sheet reconciliations. |
| |Advised treasury of monthly currency exposure to hedge. |
| | |
| | – Deutsche Bank London, UK |
| |Credit Operator for Credit Risk Management – Temporary Contract |
| |Monitored breaches of credit limits on current and potential future |
| |exposures. |
|COMPUTER SKILLS |
| |Excel – VBA, Pivot tables, IF statements, Vlookups. |
| |Access – VBA, running and designing queries |
| |Word, PowerPoint, Outlook, Business Objects, Summit, STS, Risk |
| |Viewer, Trader Desktop, Cognos, CreditOne. |
|LANGUAGES |
| |English – Native speaker |
| |French – Advanced |
| |Danish – Basic |

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