Adam Ślaski
Support Business Partner, BNP Paribas Securities Services
Warsaw / Poland
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Education
Szkoła Główna Handlowa w Warszawie / Warsaw School of Economics 2015 - current
Finance and accounting
Szkoła Główna Handlowa w Warszawie / Warsaw School of Economics 2015 - current
Finance and accounting
Experience
Support Business Partner, BNP Paribas Securities Services 09/2013 - current
Main responsibilities:
- Providing management with monitoring reports;
- Providing support to the management to prepare different presentation materials;
- Providing support to the Fund Dealing Services teams to prepare comprehensive analysis;
- Cooperating with channel sales and client account managers to provide our clients with comprehensive analysis;
- Monitoring and evaluating current processes in order to identify areas where efficiencies can be gained;
Junior Reconciliation Specialist, BNP Paribas Securities Services 03/2012 - 08/2013
Main responsibilities:
- Ensuring monthly and quarterly reconciliation of Mutual and Hedge Funds;
- Ensuring that breaks are taken ownership and matching is practiced on a timely and efficient manner;
- Monitoring and evaluating current processes in order to identify areas where efficiencies can be gained;
- Creating and developing the analytical tools that are essential for reporting and control of the process;
- Ensuring that procedures are regularly reviewed and updated;
- Cooperating with the representatives of other departments of the bank;
- Responding to queries from internal and external clients;
- Supporting the team manager in his daily and any ad hoc tasks;

In the Reconciliation Team my responsibilities cover daily tasks like reconciliation of the Mutual and Hedge Funds, solving the breaks and communication with internal and external clients. In area of my focus is also implementation of new solutions, facilitating a process, creating and developing reporting tools and training new team members.
Junior Reconciliation Specialist, BNP Paribas Securities Services Luxembourg 06/2012 - 11/2012
Main responsibilities:
- Ensuring monthly and quarterly reconciliation of Mutual and Hedge Funds;
- Testing and developing tools that are essential for execution of reconciliation process;
- Evaluating and updating procedures in order to identify areas where efficiencies can be gained;
- Advising manager of problems and concerns which may arise during migration;
- Cooperation with the representatives of other departments of the bank;
- Responding to queries from internal and external clients;
- Supporting the team manager in his daily and any ad hoc tasks;

During six months in BNP Paribas Securities Services in Luxembourg my responsibilities covered wide scope of issues. Excluding daily tasks of the team I was focused on preparation the process to effective implementation in the new branch: testing and developing applications, updating procedures and communicating to manager all potential issues.
Trainee, Citibank International Plc 07/2011 - 09/2011
Main responsibilities:
- Preparing curves for the Value-at-Close and Transfer Pricing reports and the internal accounting rates
- Implementation the process of the Bank Book result reporting - Risk Treasury Profit and Loss
- Participating in creation the analysis facilities that are essential for reporting processes and the control of the Bank Book result;
- Cooperating with the representatives of departments of the Treasury, Finance and Market Risk from the countries of the region that Citibank supports;