Does the idea of working for a forward-thinking financial services organisation that values responsibility, collaboration, and innovation sound right for you? If you have a passion for financial modelling, cashflow forecasting, and contributing to strategic planning, we have the perfect role for you. The role sits within Treasury and requires an ambitious and experienced Accountant to join the team where you will have vast oppportunities for career progression.
We’re looking for…
- Experience in financial modelling and forecasting.
- A finance-related qualification (e.g., CA, ACT, CERTBALM).
- Proficiency in Microsoft tools for financial modelling and reporting.
- Strong understanding of financial instruments, derivatives, and their role in managing financial and liquidity risks.
- Knowledge of Treasury Management Systems and Asset and Liability Management modelling.
You are…
- A skilled communicator with excellent interpersonal skills, able to engage and build relationships with a range of internal and external Stakeholders
- You will ideally hold a professional accounting qualification (CA, ACCA, ACT or equivalent) however applications will be accepted from individuals who are qualified by experience
- Experience of working within Financial Services and retail banking is preferred
- Analytical and detail-oriented, with the ability to interpret economic data and its impact on financial performance.
- Collaborative and proactive, thriving as part of a team dedicated to effective risk management and insightful reporting.
- Hedge Accounting experience is advantageous
The good stuff…
- Opportunity to work closely with senior leadership and influence strategic decisions.
- Career development in a supportive, forward-thinking organisation.
- A chance to enhance your skills
- Competitive compensation and benefits package.
- Hybrid working with some travel to Head office in the North West of England required across the month
Does this sound like you? Then we want to hear from you. Please get in touch today.