Live opening · Posted 10 hours ago
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About the role
Description supplied by the original job listing.
The Global Treasury Controllership (GTC) team is part of the American Express Global Controllership Organization. GTC plays a significant role in the Middle and Back-office treasury functions, financial reporting processes for the Company’s cash, debt, securities and financing transactions, investments, and derivatives ensuring the Capital, Liquidity and Exposure Management needs of the company are met while closely partnering with Treasury Organization.
This analyst role is within the Global Treasury Advisory and Valuation team of GTC and is responsible for supporting transition and compliance readiness for regulatory reporting. The individual is also responsible for ensuring appropriate and consistent reporting across the Company’s Treasury portfolio and will support key dynamic projects across the team.
1-3 years’ experience in Audit, Accounting, or Finance – Big 4 experience or CPA preferred
Basic understanding of derivatives accounting, valuation and collateral management preferred
Basic understanding of US GAAP required – knowledge of ASC 815, 820, or 830, a plus
Strong project management acumen preferred
Very strong communication, prioritization, presentation, and organizational skills
Possess abilities to challenge the status quo and apply a process-improvement mindset
Proficient in MS Office - Excel and PowerPoint.
Working Knowledge of the following: Oracle, MS Power Platform (Automate, BI), Python, GenAi
Experience in Treasury/Treasury Controllership and/or knowledge of capital markets a plus, but not required
Bachelor’s or Master’s degree in Accounting or Finance
Employment eligibility to work with American Express in the United States is required as the company will not pursue visa sponsorship for these positions.
Support the company’s ongoing accounting and reporting initiatives that impact GTC (products such as debt, investment, derivative and hedging transactions, fair value measurements, etc.)
Support and the company’s growing external reporting requirements
Lead and manage the project plans for GTC team
Participate in projects driving automations and process enhancements.
Build and maintain successful collaboration with business partners, e.g. Treasury, External Reporting, Exposure Management, Global Accounting Policy Group, Legal, Risk, and Tax.
Document standard operating procedures (SOPs), maintain issue logs, and maintain compliance with derivative and valuation controls and establish framework.
Support on internal and external audit
Additional opportunities to assist with the valuation of AXP’s Balance Sheet, including FX and interest rate swap derivative portfolios
Work arrangement
Hybrid
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