Manager - Financial Control and Operations, Treasury
- GBP60696 - GBP70811 per annum + benefits
- London, England, United Kingdom
- Permanent, Full time
- Lloyds Banking Group
- 14 Aug 17
Manager - Financial Control and Operations, Group Corporate Treasury
Lloyds Banking Group (LBG) is the UK's largest bank. Group Corporate Treasury (GCT) supports the Group Board in developing and maintaining the appropriate balance sheet structure to meet the Board's desired Capital, Funding/Liquidity and Structural Market Risk appetite whilst providing the appropriate flexibility to accommodate the Board's Strategic plans.
GCT delivers a single LBG corporate treasury function with clear accountabilities that meets the needs of the business as well as statutory and regulatory requirements.
The GCT Finance department supports the delivery of insightful management information to senior executives so that the GCT businesses (Group Capital Management, Funding & Liquidity, Balance Sheet Management etc) deliver on their strategic aims.
This role is an opportunity to gain a real overview of the bank and insight into how everything fits together. Project work with new transactions and structures ensures no two days are the same.
You'll have a great deal of face-to-face interaction with the GCT Front Office, GCT and other finance teams, building these relationships and working with others to ensure new transactions are correctly accounted for.
You'll be responsible for the timely production of accurate and complete books and records for all portfolios and SPVs ensuring compliance with all Group financial and external reporting requirements, while providing insightful information to stakeholders.
We're looking for an effective financial controller to manage, provide and agree the complete suite of reporting for the Capital Management desk. Ideally you'll have a finance background in capital related products, however we would also consider strong candidates with a working knowledge of the LBG ledgers or front to back processing.
You'll be knowledgeable, with deep analytical skills and able to bring your skills and experience to the role, owning the Front Office relationship and issues for their books, performing variance analysis, producing commentary and communicating this to the GCT Front Office clearly. You will need to have a keen eye for detail, accuracy and be deadline orientated, while fitting into a collaborative environment within a team of 7.
In return, we can offer you a real opportunity to develop your Treasury skills and experience. We're passionate about diversity in the workplace and support agile working - we're open to discussing a variety of working styles and options to suit both you and the business. And as making you feel valued is important, we'll offer a highly competitive salary and rewards package.
So if this sounds like your next career move and you have the skills and background we're looking for, we'd like to hear from you.