– Manage and periodically review the control framework to ensure adherence to company policy and legislation
– Co-ordinate and direct the preparation of the budget, financial forecasts and report variances
– Lead the design and implementation of processes to safeguard the control framework
– Regular interaction and business partnering with the regional business and Group Finance
– Build and embed strong relationships with internal stakeholders and key business partners across the business
– Oversee and develop reporting processes and ensure quality control over financial reporting
– Regular interaction with Group Finance to ensure the accuracy of documentation and Business Case review
Prerequisites for role:
– 10+ years post-qualified experience within the financial services industry with strong financial control and reporting functions in a global banking environment
– The ability to think creatively, challenge the status quo and outstanding communication skills are essential for this role