Position Overview
As Financial Controller, you will lead treasury management, cash flow forecasting, commercial budgeting, and financial planning activities across the UK business. You will play a key role in ensuring strong liquidity management, delivering accurate forecasts, and supporting strategic decision-making.
You will take ownership of financial reporting and commercial accounting operations, providing insight into profitability across spread, insurance, and services activities. Working closely with senior stakeholders, including Head Office teams, you will drive performance through detailed analysis, robust controls, and continuous process improvement.
Key responsibilities will include:
Leading treasury operations, including cash flow forecasting and liquidity management
Owning budgeting, forecasting and variance analysis processes
Delivering commercial profitability analysis, including interest rate and cost of funds (COF) impact
Producing accurate and timely monthly and...