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Financial Controller

Job in London, Greater London, W1B, England, UK
Listing for: iXceed Solutions
Full Time position
Listed on 2026-03-07
Job specializations:
  • Finance & Banking
    Financial Reporting, Financial Analyst, Accounting Manager, Tax Accountant
  • Accounting
    Financial Reporting, Financial Analyst, Accounting Manager, Tax Accountant
Job Description & How to Apply Below

Overview

Recruitment & Client Partner | Connecting UK & EU Businesses with Top Talent | Recruitment Problem Solver | Team Mentor | Revenue Driver

Location: London, UK (3 days onsite per week)

Project Duration: 6 months

Job Description
  • Perform day-to-day financial accounting activities with required efficiency and accuracy across all core disciplines; journal processing/review, balance sheet reconciliation preparation/review, fixed assets accounting, employee payroll and benefits accounting, lease accounting, EIR calculations, general accounting and broad application of principles outlined within IFRS standards
  • Ability to produce primary statements and accompanying notes to the Financial Statements
  • Follow the documented procedures, gaining in depth understanding of Client processes, active team player with good communication and documentation skills
  • Ability to deviate from a standardised process in order to deliver insightful and meaningful output to the Client, whether that be from a quantitative or qualitative perspective
  • Working with other suppliers of information, such as Accounts Payable, to safeguard the quality of financial information being fed into the general ledger is accurate and appropriate
  • Strong/broad working understanding and experience of hedge accounting under IFRS 9 (IAS 39 EU carve out). Understanding of key concepts/rules regarding designation of hedge relationships. Ability to produce monthly accounting journals for all types of hedge relationship, including accompanying analysis/commentary
  • Ability to operate and fully understand Excel based VBA models, which use interpolation to derive forward interest rates, discounted cash flows and regression analysis
  • Strong understanding of core treasury products/instruments and the associated accounting rules/principles
  • Ability to work seamlessly with FP&A and Technical Accounting to ensure both statutory and management accounts are accurately produced
Skills Required
  • Good knowledge of record to report processes and previous worked for UK banking clients
  • Fluency in English language. Good business awareness, teamwork, adaptability, time management
  • Degree or equivalent level qualification
  • Strong Microsoft Excel and Powerpoint skills, for analysing data and preparing reporting packs
  • Skills in managing, coaching and developing fellow colleagues
  • Ability to own finance processes and prioritise work to meet deadlines
  • Numeracy, attention to detail and a logical approach to problem solving
  • Ability to deal with ambiguity, develop recommendations and drive solutions proactively/autonomously
  • Ability to identify inefficiencies in processes and solutionise the ideal end state
Seniority level
  • Mid-Senior level
Employment type
  • Contract
Job function
  • Information Technology
  • Industries
  • Banking
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