2020 Global Finance & Business Management Analyst Program - Full-time (Bournemouth)

J.P. Morgan · Competitive · South West England
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If you like analyzing results and using data to drive decisions, then we have a role for you. The function of Global Finance & Business Management is critical to all facets of the business, dedicated to continually making our business better – strategically, financially and operationally.

What you can expect:

This three-year rotational program delivers in-depth industry training, mentorship and hands-on experience.
As an important member of the finance team you will rotate across the following roles in our Corporate or Line of Business groups:

• Business Management
• Controller
• Financial Analysis
• Regulatory Reporting & Capital Policy


About you:

We are looking for highly motivated individuals with a passion for producing financial analyses to help drive strategic business decisions and ensure the company is capable of navigating all types of market environments, while maintaining a fortress balance sheet.

Eligibility Criteria

  • A well-rounded academic background is important — a 2:1 Bachelor’s degree (or equivalent) in your undergraduate degree is preferred
  • In your final year of study and available to start on the Full-time Graduate Program in September 2020
  • Excel, PowerPoint and Word proficiency
  • Ability to thrive in a dynamic and collaborative work environment
  • Basic understanding of financial statements, accounting procedures, internal and external reporting, and variance analysis
  • Excellent leadership and interpersonal skills
  • An interest in financial management

Qualifications

  • Throughout the rotational program, you will also have the opportunity to study and complete your Chartered Institute of Management Accountants (CIMA) qualification. This is mandatory across the program

Roles and Responsibilities

  • Act as a trusted advisor to business and group heads by identifying, escalating and mitigating business risks
  • Responsible for the preparation and submission of reporting to the UK regulatory bodies
  • Create meaningful analysis and reporting in support of our businesses
  • Coordinate with partners across the firm to provide financial and strategic analysis, creation, oversight and coordination of financial planning and forecasting
  • Responsible for ensuring the overall integrity and validity of the financial statements and controls over the transaction cycle

Apply to position

Deadline: 24 November 2019
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