We are building a standalone Treasury function that will support our global business through robust financial control, accurate reporting, and modern treasury operations. This is a hybrid role, where you would be expected onsite a minimum of 3 days a week in Central London. Client Details Large Industry client based in Central London. Description You will be responsible for delivering accurate and timely treasury accounting, supporting month-end close activities, derivative valuations, hedge accounting, intercompany netting, and treasury-related reporting. This role goes beyond traditional accounting. We are looking for someone who enjoys working in a changing environment, can operate effectively with ambiguity, and is motivated by the opportunity to improve processes and help build a best-in-class Treasury function. Profile Fully qualified accountant (ACA, ACCA or equivalent). At least 4 years' experience within practice, industry, or a combination of both. Advanced Excel skills and experience using financial systems. Strong analytical, reconciliation, and control capabilities. Experience working with multiple stakeholders across international teams. Experience going through Transformations in previous roles. Big 4 background desirable.
Interim Group Accountant: Treasury employer: Michael Page Banking Careers
As a leading international bank located in the heart of the City of London, we pride ourselves on fostering a dynamic and inclusive work culture that prioritises employee development and growth. Our Financial Accountant role offers not only competitive benefits but also the opportunity to engage with senior stakeholders and contribute to impactful finance projects, making it an ideal environment for those seeking meaningful and rewarding employment in the banking sector.
Contact Details:
Michael Page Banking Careers Recruitment Team