Career - Blue Bull Capital

  • OUR VISION

    We have always followed a clientcentric approach and place our client’s needs at the centre of our operations. It is our aim to remain among the best online brokers in the industry and to retain our reputaion as a most reliable and trusted broker

Jump-start your career in Forex!

Join the Blue Bull Capital team

Are you looking for a job opportunity in the exciting field of Forex? Join Blue Bull Capital, one of the fastest-growing companies in the industry to be part of a winning team that shares a passion for excellence.

We boast a transparent company culture that rewards hard work, encourages collaboration and innovation by empowering employees to take on challenges and give them the opportunity to grow within the company.

RISK AND CONTROL FRONT OFFICE ANALYST

A leading financial services firm with offices based across the globe, are currently looking for additional AVP level individuals to work within the Risk and Control function.

Essential skills

  • Ability to discuss and resolve complex Risk and Control and Regulatory issues and be able to translate to business requirements
  • Highly organised and with strong attention to detail
  • Excellent communicator, both written and verbal
  • Strong ability to multitask and take initiative
  • Problem solver able to operate in a fast paced, dynamic environment and deliver solutions
  • Product expertise
  • Ability to influence and negotiate across all areas and levels of the organisation
  • Excellent project management skills and ability to prioritize
  • Solution focussed and able to operate in a fast paced, dynamic environment.
  • Can-do attitude who can has experience in delivering change within agreed deadlines

Desirable

  • Relevant degree from tier one University
  • Knowledge of process flows from an operational and/or financial perspective is a bonus

FINANCIAL PLANNING & ANALYSIS

Financial Planning & Analysis (FP&A) is a critical department to assess the profitability, liquidity, solvency, and stability of the company through various analytical reports. FP&A department would assist the management with the information to make strategic, operational, and tactical decisions

Major Responsibilities:

  • Gather, model, analyze, prepare and summarize information for companys forecast on a monthly, quarterly, and annual basis.
  • Prepare, analyze the functional as well as branch level P&L of the company
  • Lead Annual Budgeting & Strategic planning process and reporting.
  • Compare the actual performance against the budget & provide a deep dive variance analysis to management
  • Provide timely and accurate management financial reporting.
  • Lead analysis of financial results income statement, balance sheet and cash flow
  • Ensures effective understanding, analysis, and reporting of key business drivers such as yield, cost, product mix, etc. and coordinate related activities.
  • Provide all aspects of financial support for the planning process.
  • Provide business Support by working closing with each business head and their team.
  • Drives process improvements and projects as identified
  • Collecting information and evidence for decision making of management
  • Periodic management reporting, updating reporting decks & management reviews as required

Qualification:

  • CA/ MBA
  • 7-10 years of relevant post qualification working experience.
  • Strong Communication and interpersonal skills.
  • Ability to work cooperatively and collaboratively with senior staff of the organization.
  • Commitment to outstanding performance.
  • Ability to equilibrate priorities and organize work effectively to meet deadlines.

Experience, Knowledge & Skills

  • Qualified Chartered Accountant
  • Strong academic background
  • Highly developed communication skills and experience of operating in an international environment, preferably from working for an international company.
  • Self-motivated with a mature attitude. Able to work independently in a professional manner and maintain high standards of integrity.
  • Ability to question and challenge the existing processes, with a view to creating reporting efficiencies and improvements.
  • International outlook. Able to cope with working with staff in different offices worldwide.
  • Drive and determination to obtain understanding of complex, business-driven transactions and report these accurately according to the appropriate accounting standards.
  • Intermediate/advanced Excel skills and a willingness to use technology to complete/ improve daily tasks.
  • Team player with an enthusiastic approach to fresh challenges.
  • Strong communication skills. Comfortable to liaise with non-accounting staff at all levels on a routine basis.

Key Responsibilities

  • Month end book close
  • Review and provide month end accruals, amortization, depreciation etc.
  • Deep dive analysis of entire overhead expenses of the company
  • Monthly reporting to department owners and provide variance analysis vis–vis budget
  • Preparation of budgets and forecasts
  • Review of balance sheet and post necessary journals
  • Interacting with auditors and resolution of audit queries

Knowledge, Skills And Abilities

  • * Mandatory
  • English speaking with excellent spoken and written communication skills.
  • Educated to degree level or equivalent and highly numerate.
  • Excellent accuracy and attention to detail.
  • Able to cope in a highly pressured and demanding environment and handle high volumes of work.
  • * * Desirable
  • Excel and database skills.
  • An understanding of financial controls.
  • Book keeping / basic accounting experience.

Key Relationships

  • Group payroll Accounting
  • Accounts Payables
  • Department Heads
  • IT Controller