Finanical Controller

Accountancy jobs >> Accounting/Financial/Insurance




This is a unique and rare opportunity to join a start-up UK Bank in its relative infancy, they are planning to launch in the second half of 2019. They are well backed by an overseas mutual parent who are committed to putting customers, and the community in which they work, at the heart of everything they do. As with any start-up operation, the individuals cultural and behavioural fit is extremely important. They are looking for pro-active individuals who welcome diversity in their role and the challenges of starting a business, it is not all plain sailing and not for the faint hearted. But in return you will have the opportunity to shape the future of a new UK Bank.

Reporting to the Finance Director, the successful candidate will be responsible for Financial Control / Planning and Analysis to provide overall co-ordination and management of the work of the finance team.

The main purpose of the role is to Manage the preparation and development of financial reporting, including monthly Board information, annual statutory reporting including liaison with external auditors


* Direct responsibility for management of finance staff (x2)

* Assist in the development systems and projects, as required and in conjunction with Finance Director and CEO

* Take responsibility for compliance under financial control remit and updating of procedures

* Ensure all regulatory reporting is prepared accurately and submitted to regulatory bodies in time with their reporting requirements.

* Plan the regular updates of ICAAP, Pillar 3 and ILAAP and RRP in line with industry best practice.

* Ensure liquid assets are managed to meet all obligations as they fall due in accordance with PRA requirements. Manage treasury assets to ensure that any risk of liquidity spikes can be mitigated.

* Manage the treasury function to ensure compliance with policy statements and regulatory prudential requirements

* Preparation of 5-year plans which under pin ICAAP and feed into the corporate plan. Stress testing (financial plans, funding, liquidity and capital). Regular reforecast of current year.

Required skills

* Qualified accountant (ACA, CIMA, ACCA)

* Experience of the Financial Services sector

* Excellent IT skills and experience of financial planning and modelling systems.

* Staff management experience

* Treasury Management experience
  • 1
  • Negotiable
  • None
  • None
  • CV-81976
  • Permanent
  • 0

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