About The Role
What you will do
We are seeking a Finance Business Partner to support our Group (Enabling Functions) and Treasury. Your responsibilities will include providing insightful analysis, accurate forecasting, and financial appraisals of business cases.
Key Responsibilities
* Manage the Group's budgeting and forecasting processes for Group and Treasury, ensuring alignment with strategic goals and optimal resource allocation.
* Conduct analysis and generate reports to enhance business and financial outcomes, providing appropriate support and challenge, and overseeing financial results.
* Assist in evaluating the financial outcomes of projects presented at the Investment Committee.
* Serve as a point of contact for external audit queries and issues.
What you will bring
* Ability to understand business drivers behind financial performance and communicate analytical conclusions effectively.
* CIMA or ACCA qualification.
* Advanced Excel skills; knowledge of TM1, Power BI, and SQL is preferable.
Everyone is different. Everyone is valued
As part of our vision to become the most trusted specialist lender in the UK, we have been helping customers and businesses fulfill their ambitions since 1952. We value diversity and believe that our strength lies in our people’s unique talents and perspectives. We actively promote inclusivity and support initiatives that reinforce our commitment to diversity.
We are an award-winning bank providing savings accounts and lending services to over one million customers. We are Secure Trust Bank Group, embracing differences.
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