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HSBC is one of the largest banking and financial services organisations in the world, with operations in 62 countries and territories. We aim to be where the growth is, enabling businesses to thrive and economies to prosper, and, ultimately, helping people to fulfil their hopes and realise their ambitions.
We are currently seeking an experienced professional to join our team in the role of Vice President Asset Management Revenue Reporting Lead
Business: Finance
Principal responsibilities
End to end ownership of Revenue, Assets Flows Reporting and underlying processes for Asset Mgmt. Providing oversight and challenge to the delivery of the monthly financials.Lead month end, forecasting and FRP processes for all Revenue, Assets Flows related matters.Business Partnering with Key senior stakeholder to strengthen relationships and ensure all the requirements are met on a timely and robust manner.Plan and manage ad-hoc tasks and reporting raised by Business, senior management etc. to ensure relevant and timely response.Collaborate and drive change projects.Collaborate and build strong relationships with teams across AM Business, country regional CFOs as well as MI teams, IWPB and Group Finance etc. This is important to ensure open and transparent communication and workflow alignments.Provide guidance and advise on Revenue, Assets and Flows related matters to all, including senior finance and business management teams.Oversee all activities with a strong mind-set towards delivering Shareholder Value and continually challenge inefficiencies.Own reporting and MI for senior executives, thereby ability to communicate effectively at this level is a must.FRP, Budgeting and Forecasting:
Lead the FRP, Budgeting and forecasting process for the Asset Management Business, ensuring alignment with overall business goals.Collaborate with Business and finance teams to gather inputs, assess financial requirements, and set realistic budgetary targets.Monitor performance against budgets and forecasts, providing variance, margin analysis etc. and actionable insights to stakeholders.Financial Analysis and Reporting
Prepare detailed Revenue analysis and financial reports, highlighting key metrics, trends, and areas for growth and opportunity as well as risks.Provide timely and accurate financial information to support decision-making for senior management.Conduct scenario and sensitivity analysis to assess the financial impact of macro-economic changes, strategic decisions/initiatives etc.Risk Management and Compliance:
Ensure compliance with internal controls, financial policies, and regulatory requirements.Assess risks associated with revenue, assets and flows reporting activities and recommend mitigation strategies.Maintain and drive strong controls around data integrity and accuracy for all deliverables.Effectively drive and manage change, plan business contingency and achieve cross-training.Ensuring BCP plan is documented, agreed with business partner and tested as per agreed timelines.Cross-Functional Collaboration and Stakeholder Engagement:
Partner with Finance teams across the globe, Client Business Management, Sales and business heads, and other key departments.Act as a trusted advisor to senior management on all related matters, providing insights and recommendations.Leadership Teamwork
Engage with leads and colleagues across business and legal entities to promote consistency and teamwork.Develop and understand existing processes and systems / data flows and the target end-state.Demonstrate leadership, including the provision of guidance, coaching and timely feedback to improve effectiveness.Design and enable training on transformation – with a particular focus on developing commercial acumen, business partnering capabilities and technical accounting knowledge.