Financial Reporting and Analysis
- Supporting the HoF with business requirements to enable the design, implement and maintaince of the financial planning tools, general ledger and other finance systems for the bank
- Supporting the annual budgeting and forecasting process, ensuring budgets and forecasts are realistic, aligned with strategic objectives, and comply with UK financial regulations
- Producing regular financial performance reporting to all areas of the bank including the executive team and the board of directors, highlighting key areas with supporting commentary to assist
- Analyse financial data to identify trends, opportunities, and areas for improvement
- Monitor budget performance and recommend adjustments as necessary
- Develop key performance indicators to monitor and drive the performance of the bank
- Supporting the team with the delivery of stress testing for the ICAAP, ILAAP and other prudential documentation
Financial Control
- Manage the financial control and reporting with a key focus on balance sheet management and achieving the financial targets set in the corporate plan, budget and forecasts
- Prepare accurate and timely financial reports, including income statements, balance sheets, and cash flow statements
- Supporting the preparation of statutory accounts and providing relevant support | and commentary for the to auditors
- Monitoring and maintenance of the general ledger, financial accounts and management accounts, including backup, supporting schedules and reconciliations and journal posting for month-end and year-end accounts
- Ensure the accurate and timely processing of financial transactions and reporting
- Assist with the development, implementation and maintenance of all the bank's accounting policies in accordance with IFRS
- Support the preparation, review, maintenance and update finance documentation, including Finance processes, procedures and policies
Risk Management
Regulatory Compliance and Audit