Approved employer jobs in Kraków
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- Approved employer, Banking and financial services, Direct employer, Kraków 167
- Approved employer, Banking and financial services, Direct employer, Manager, Poland 35
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Kraków
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Found 20 Direct employer, Banking and financial services, Manager jobs
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ACCA Sustainability in Banking Virtual Work Experience Programme
A 6-8 hour interactive simulation of the day-to-day work of a CIMB Employee.
Top job
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Manager in General Ledger Accounting and Financial Reporting
Managing the team to ensure appropriate quality of deliverables (Net Asset Value reporting pack and supporting reports).
New
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SimCorp Conversion Unit Manager, Hybrid, Vice President
Being accountable for integration of the existing businesses with the future operating model and fund reorganisations.
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SimCorp Conversion Manager, Hybrid, Officer
Managing the review and sign off of all local responsibilities of conversion and parallel accounting schedules.
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Fund Accounting Assistant Vice President
Assist the Vice President in providing strategic direction for assigned fund accounting teams.
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Financial Reporting Manager, Hybrid, Officer
Manage resources & take responsibility for the recruitment of new Financial Reporting staff.
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Change Manager - Integration Support, AVP
Provide high level summary and status updates to workstream Vice President and Key Leadership.
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Global Delivery Process Reengineer, Hybrid, Assistant Vice President
Design end-state processes and business services that deliver confident business value and offer the best time to market, the best cost estimate.
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Business Risk Manager-Governance Team, Officer
Build strong relationships with other Business Risk Management, Compliance, ERM, Audit, Legal and/or business colleagues.
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Hedge Fund Accounting Business Analyst, Manager, Hybrid/Remote, Assistant Vice President
Collaborating with and communicating project status to business team leads and Geneva project managers.
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Middle Office Operations Manager, Hybrid, Officer
Maintain your primary portfolios, trading in all types of Fixed Income, Equity and related securities.
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Private Equity Manager
A Private Equity Fund Accounting Manager will be required to manage the closed end fund accounting process within the guidelines.
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Business Analyst- Reconciliation, Hybrid, AVP
Drive positive change in Recon operating model with highly automated recons achieving significantly improved match rates and exception coding.
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Fund Accounting Manager
Managing client relationships involving interaction with both the client and the relevant Fund Accounting Director to ensure consistency of service.
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Middle Office Manager
Institute innovative technological solutions to alleviate client concerns in conjunction with our Business Development team.
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Fund Accounting Assistant Manager
Review income and expense accruals including fee calculations and trading accruals.
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Risk Operations Manager, Officer
Assist the team with reconciliation of risk results against accounting reports and independent data.
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Private Equity and Real Assets – Fund Accounting & AM, Hybrid,Officer
Provide regular feedback to AVP and more senior colleagues with regard to Investor Services operations.
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Fund Accounting Manager
Managing client relationships involving interaction with both the client and the relevant Fund Accounting Director to ensure consistency of service.
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Trainee Portfolio Manager with State Street Global Advisors, Officer
Assist in building required reports and presentations for internal governance committees.
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Reconciliation Senior Manager Hybrid,AVP
Review of daily cash, position and market value reconciliations including trade capture and pricing.