Your new company Our client is an established international bank with a strong presence across key global financial centres, including London. With a focus on corporate and investment banking, they provide a broad range of services to institutional clients, supported by a collaborative and internationally connected team. Your new role This role sits at the heart of the London finance function, supporting day-to-day financial operations while acting as a key link between the local business and Head Office, ensuring strong financial control, regulatory compliance, and effective cross-border alignment. Key Responsibilities: Lead the day-to-day finance operations, including oversight of financial reporting, month-end close, and balance sheet integrity Manage the monthly reporting cycle, including trial balance review, variance analysis, and product control across treasury and FX activities Oversee regulatory and statutory reporting, ensuring full compliance with PRA and FCA requirements and coordinating external and internal audits Monitor liquidity and ALM metrics (including LCR and NSFR), supporting ALCO reporting and asset-liability management activities Drive budgeting, forecasting, and financial planning processes in collaboration with business units Act as a key liaison with Head Office, ensuring alignment on reporting, policies, and cross-border initiatives Partner with senior stakeholders across finance, risk, and treasury to su...