Financial Controller - Statutory Accounting | £80,000-£90,000 | Investment Banking | London | Hybrid Working
6-Month Contract | Temp-to-Perm Opportunity
Are you an experienced finance professional looking for an exciting challenge in a leading investment bank? Do you thrive in a dynamic, fast-paced environment where your expertise in financial control and statutory reporting will make a real impact?
Join a top-tier investment bank in London on a 6-month contract with a strong potential to transition into a permanent role. This is a fantastic opportunity to work at the heart of the financial industry, ensuring regulatory compliance, optimising reporting processes, and collaborating with key stakeholders across the business.
Key Responsibilities:
- Lead the monthly balance sheet review and ensure accurate reporting to Head Office in compliance with IFRS, US GAAP, and FINREP.
- Drive the month-end close process, ensuring data integrity and accuracy across key financial products such as repos, bonds, loans, and derivatives.
- Conduct detailed ledger reconciliations, investigating and resolving discrepancies across multiple systems.
- Oversee SOX control documentation, ensuring compliance and enhancing financial reporting processes.
- Act as a key business partner to automation and robotics teams, driving efficiency in financial reporting.
- Support regulatory and statutory accounting requirements, ensuring financial statements meet compliance standards.
- Assist in the transition to a new general ledger system (Oracle BI), ensuring seamless integration and alignment with SOX and audit requirements.
- Work closely with Treasury, Product Control, and Regulatory teams to clear audit findings and improve hedge accounting controls.
What We're Looking For:
- A qualified accountant (ACA, ACCA, or CIMA), ideally with experience in investment banking or financial services.
- Strong technical expertise in statutory accounting, financial controls within the investment banking sector
- Experience with IFRS 9, and FINREP reporting.
- Ability to analyse and optimise complex ledger reconciliation processes.
- Strong knowledge of Oracle BI or similar financial systems is a plus but not a requirement.
- Excellent stakeholder management skills with the ability to work across teams.
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