At a Glance
- Tasks: Oversee financial control and reporting for Treasury balance sheet and P&L.
- Company: Leading UK financial services organisation in the heart of London.
- Benefits: Competitive salary of £100,000, flexible working, and career advancement opportunities.
- Other info: Dynamic role with opportunities for process improvement and strategic project involvement.
- Why this job: Join a high-performing team and make a significant impact in treasury finance.
- Qualifications: Qualified accountant with strong financial reporting and stakeholder management skills.
The predicted salary is between 100000 - 100000 £ per year.
I’m working with a leading UK financial services organisation seeking an experienced Treasury Financial Controller to join a high-performing finance team. This is an excellent opportunity for a qualified accountant looking to combine technical excellence, stakeholder engagement and leadership within a complex treasury environment.
The Opportunity
Reporting into the Head of Treasury Finance, you'll take ownership of the financial control framework across the Treasury balance sheet, ensuring robust reporting, strong governance and accurate statutory disclosures. You'll play a key role in safeguarding financial performance, managing audit relationships and driving continuous improvement across treasury finance processes. This is a highly visible position, partnering with Treasury, Finance, FP&A, Product Control and wider business stakeholders.
Key Responsibilities
- Maintain robust financial control over Treasury balance sheet and P&L reporting
- Lead month end processes, balance sheet reconciliations and financial reviews
- Prepare monthly management accounts and provide detailed variance analysis
- Deliver accurate statutory, regulatory and management reporting, including quarterly regulatory submissions
- Act as the primary finance contact for Treasury-related matters across the business
- Manage relationships with external auditors and support year end and interim reporting requirements
- Partner with Treasury, Front Office, Back Office and wider Finance teams to resolve complex issues and improve reporting quality
- Drive process improvement initiatives, enhancing controls, efficiency and reporting capabilities
- Provide insightful analysis to support business decision making
- Contribute to strategic projects and broader finance initiatives
Required experience
- Experience producing high-quality financial and management reporting
- Strong balance sheet control and reconciliation experience
- Excellent stakeholder management and communication skills
- Proven ability to identify risks and drive resolutions
- Experience working cross-functionally across multiple business areas
- A proactive mindset with a passion for process improvement
- Strong attention to detail and organisational skills
If you're a qualified accountant looking for your next step within Treasury Finance, we'd love to hear from you.
Treasury Financial Controller employer: Trace | Expert Accountancy & Finance Recruitment
Join a well-established manufacturing business in West London as a Fractional Finance Director, where you will play a pivotal role in driving financial leadership and meaningful change. With a collaborative work culture and a focus on employee growth, this position offers the chance to make a tangible impact while working closely with senior leadership. Enjoy the benefits of a hands-on role in a supportive environment, with convenient on-site parking and the opportunity to shape the finance function during a critical period of development.
Contact Details:
Trace | Expert Accountancy & Finance Recruitment Recruitment Team