Job Description
About the jobKey Responsibilities:
1. Local Financial Operations Management
* Oversee all UK financial operations including bank account opening/maintenance, daily bookkeeping, and financial record management
* Prepare and file local tax returns, ensuring full compliance with UK GAAP, HMRC requirements, and other applicable UK regulatory obligations.
* Lead annual audit processes with external auditors for the UK entity
* Manage local budgeting, forecasting and cash flow management for UK operations
2. Global Treasury Support (UK Timezone Coverage)
* Execute timely fund transfers and payments to support 24/5 global treasury operations
* Monitor UK banking activities and provide real-time liquidity reporting to HQ
* Coordinate with UK/HK finance teams for smooth intercompany settlements
* Process urgent transactions during UK market hours to support global trading needs
3. HQ Financial Collaboration
* Assist in preparing consolidated group financial statements with UK segment reporting
* Support HQ on special projects including system implementations, process improvements
* Provide UK-specific financial insights for global decision making
* Act as bridge between UK local requirements and group financial policies
Qualifications:
* 5+ years experience in UK corporate finance/accounting role
* Strong knowledge of UK GAAP and tax regulations
* Experience with international payments and multi-currency transactions
* Proficiency in accounting software and Excel
* Excellent communication skills for cross-border collaboration
* CPA or equivalent certification preferred
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