Product Control - Analyst - Finance Profile Description Were seeking someone to join our team as an Analyst. Finance In the Finance division, we act as a partner to business units around the globe by providing management, review, analysis, and advisory services of the Firms financial and capital resources Business Audit Morgan Stanley is an industry leader in financial services, known for mobilizing capital to help governments, corporations, institutions, and individuals around the world achieve their financial goals. At Morgan Stanley India, we support the Firms global businesses, with critical presence across Institutional Securities, Wealth Management, and Investment management, as well as in the Firms infrastructure functions of Technology, Operations, Finance, Risk Management, Legal and Corporate & Enterprise Services. Morgan Stanley has been rooted in India since 1993, with campuses in both Mumbai and Bengaluru. We empower our multi-faceted and talented teams to advance their careers and make a global impact on the business. For those who show passion and grit in their work, theres ample opportunity to move across the businesses for those who show passion and grit in their work. Interested in joining a team thats eager to create, innovate and make an impact on the world? Read on What youll do in the role: An opportunity exists in the Cash Controllers team, which is responsible for the reconciliation, reporting and analytics of the Firm Cash & Cash Equivalents Balance sheet and P&L. The team is also responsible for analyzing and reporting material cash breaks to the Legal Entity Officers or controllers as a part of the risk guardianship roll. Primary clients are Finance Senior Management, Corporate Treasury and the finance teams of the Business Units they fund (Wealth Management, Investment Management and Institutional Securities Group). The role provides an excellent opportunity to interact with and understand the working of Morgan Stanleys core businesses and Balance Sheet with exposure to all that is Cash & Cash Equivalents. - Responsible for reconciliation and analysis of the cash at bank accounts at a consolidated firm level and legal entity level. - Responsible for clearing of cash breaks (breaks between books and bank) as well as accurate reporting in the books of accounts at month, quarter and year ends - Liaising with other controllers/Ops, IT teams to understand the cash breaks and work within strict and stringent timelines to clear the same. - Attest/assist/verify the Cash & Cash Equivalent? numbers for various internal and external disclosures and reports. - Responsible for consolidating daily (during month ends) review packs for global cash controllers. - Ad hoc management projects will be assigned This is not an exhaustive list of tasks, and responsibilities may change in line with the team and business needs