Job Description

The Officer will be responsible for the P&L and Balance Sheet reconciliations, reporting including regulatory and SEC reportings on a daily, weekly, monthly and quarterly for FX Products. Work closely with other operational teams like FX Operations, Collateral Operations, Global Cash Teams to resolve any issues causing breaks in the accounts monitored for FX products.

Business As Usual (BAU) Activities:

  • Develop the team to adopt “owner’s mind set”, work independently, and effectively manage timelines 

  • May be required to provide accounting analyses or research on critical and complex issues which may include variance analysis of accounting transactions related to the products supported.

  • Develop subject matter expertise in all aspects of the products under responsibility including operational aspects of a particular accounting transaction.

  • Participate in or manage function specific projects as needed

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