Head of Audit - Finance, Treasury & Market Risk

Head of Audit - Finance, Treasury & Market Risk

Full-Time 60000 - 75000 Β£ / year (est.) No working from home possible
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At a Glance

  • Tasks: Lead audits in Finance, Treasury, and Market Risk while influencing decision-making.
  • Company: Join a transformative organisation investing in people, data, and technology.
  • Benefits: Generous pension, performance bonuses, share schemes, and 30 days holiday.
  • Other info: Opportunity to coach talent and build high-performing teams.
  • Why this job: Be part of a dynamic team driving impactful audit outcomes and cultural transformation.
  • Qualifications: 5-10 years in complex audits and strong leadership skills required.

The predicted salary is between 60000 - 75000 Β£ per year.

As Head of Audit for Finance, Treasury and Market Risk, you'll lead audits across Group Finance, Group Corporate Treasury, LBG Investments & LDC, and Market Risk. Providing independent, outcome focused assurance, and influencing the control environment. Group Finance is on a strategic transformation journey. You'll apply deep risk insight to influence decision making and deliver impactful audit outcomes, drive new ideas, and find opportunities to make valuable contributions to the organisation and customers. You'll build strong relationships across the function and lead the Finance Risk Community of Interest.

Day to day, you will:

  • Lead risk assessment and deliver an integrated, risk-based audit plan.
  • Provide technical recommendations with material business impact.
  • Manage senior collaborator relationships across all Lines of Defense.
  • Monitor key risks and call out concerns appropriately.
  • Challenge leadership on risks, controls, strategy, and compliance.
  • Promote Group values and support cultural transformation.
  • Lead, develop, and coach talent within the team.
  • Provide clear, timely feedback to drive performance.

Qualifications:

  • 5-10 years' experience delivering complex audit portfolios across Finance, Treasury and Market Risk.
  • 3-5 years' experience in building and developing high performance audit teams.
  • Strong collaborator engagement and influencing capability.
  • Deep knowledge of Market Risk regulations (e.g. IMA, IRRBB, FRTB) and capital frameworks.
  • Understanding market risk models and processes (e.g. VaR models).
  • Ability to deliver assurance on capital requirements and stress testing.
  • Strong data analysis and communication skills.

Leadership & Behaviours:

  • Lead delivery while developing and motivating teams.
  • Build inclusive, high-performing environments across locations.
  • Empower others, delegate effectively, and avoid micro-management.
  • Coach for performance and career development.
  • Act as a trusted advisor, providing strategic insight and challenges.

Benefits:

  • A generous pension contribution of up to 15%.
  • An annual performance-related bonus.
  • Share schemes including free shares.
  • Benefits you can adapt to your lifestyle, such as discounted shopping.
  • 30 days' holiday, with bank holidays on top.
  • A range of wellbeing initiatives and generous parental leave policies.

Head of Audit - Finance, Treasury & Market Risk employer: Lloyds Banking

Join us as the Head of Audit for Finance, Treasury and Market Risk, where you'll be at the forefront of our strategic transformation journey. We pride ourselves on fostering a collaborative and inclusive work culture that empowers our employees to thrive, offering generous benefits such as a substantial pension contribution, performance-related bonuses, and 30 days of holiday. With a strong focus on professional development and wellbeing initiatives, we are committed to investing in our people and creating meaningful career growth opportunities.

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Contact Details:

Lloyds Banking Recruitment Team

We think you need these skills to ace Head of Audit - Finance, Treasury & Market Risk

Risk Assessment
Integrated Audit Planning
Technical Recommendations
Senior Collaborator Relationship Management
Market Risk Regulations Knowledge
Capital Frameworks Understanding
Market Risk Models Knowledge