This role is within a new team that is being created in Edinburgh and reporting into the Head of reconciliations. The team will consist of 2 individual who will provide financial oversight of all platform control accounts and trading activities in line with individual client requirements.
The team will be responsible for ensuring that on a daily ,weekly and monthly basis all underlying accounting postings and related control accounts are in line with clients propositions, and can be substantiated by system generated reporting
Specific Role Responsibilities
This role is new and specific deliverables will include but are not limited to the following:
FNZ is the market leading provider of technology and administration services to major financial institutions in the platform and wealth management sectors across the globe. We partner with life companies, banks, asset managers and discretionary wealth managers to enable them to develop and distribute financial products and services to their customers across all major distribution channels.
FNZ has a strong blue-chip customer base including Standard Life, Axa Wealth, JP Morgan, HSBC, AMP, National Australia Bank, Bank of New Zealand, Friends Life, UBS, Zurich Financial and Close Brothers Asset Management. It has helped these customers grow to around £80 billion of platform assets in aggregate. FNZ now employs over 1000 people with offices in Edinburgh, London, Bristol, Brno (Czech Republic), Wellington Sydney, Singapore and Hong Kong.