Treasury Financial Control Accountant

Empirical Search London, England Posted Oct 17, 2025

Full Time
Onsite
Senior

Job description

Role Description

  • To provide specialist accounting and reporting expertise across treasury activities, with a focus on investment bond portfolios, and repo/reverse repo structures. The role ensures compliance FRS and regulatory standards, supports efficient treasury management, and delivers high-quality financial analysis for senior management, auditors, and regulators. Looking forward the bank has BBB Enable, AT1 / T2 and potential SRT transactions.
  • Role Requirements

  • Qualified Accountant, or qualified by experience
  • Experience preparing financial statements, reconciliations, and regulatory reporting
  • Familiarity with Treasury related products - derivatives (swaps, forwards, options), debt instruments, and structured products
  • Understanding of interest rate risk, FX risk, and liquidity risk management
  • Awareness of treasury systems (e.g., Wallstreet, Quantum, Murex, or equivalent)
  • Knowledge of Bank of England (BoE), PRA, FCA reporting requirements
  • Understanding of capital and liquidity frameworks (e.g., CRR, Basel III, LCR, NSFR)
  • Awareness of hedge effectiveness testing and risk/return dynamics
  • Report this job
    Report this job

    Help us keep Jobs247 accurate, safe, and useful for job seekers.

    Usually takes less than 20 seconds
    We review reports to remove misleading, expired, or duplicate listings faster.
    Career guide

    Learn more about this role

    Explore the matching JobPedia guide for deeper duties, skills, salary context, and career paths.

    JobPedia role guide

    What does a Accountant actually do?

    Explore the real work behind the title, from day-to-day responsibilities to how the role works in practice for Accountant.

    Keep exploring similar roles

    Search for more Treasury Financial Control Accountant jobs from Empirical Search in London, England.