Financial Controller
TreasurySpring is the product of an obsession with fixing the fundamental structural problems in money markets. Our fascination with the sector began painfully, during the Global Financial Crisis of 2008, where we had a front-row seat to watch the evaporation of liquidity in fixed income and the near collapse of the entire short-dated funding markets.
We have been on a mission to help deliver more sustainable solutions for the money markets ever since, and we launched TreasurySpring in 2018 to offer institutional clients a single gateway to the broadest range of the best risk-adjusted cash investment options. As a fast-growing London-based financial technology company, we deliver a unique solution to a global multi-trillion-dollar problem, delivered globally from our offices in London and New York.
Our regulated Fixed-Term Fund platform delivers new digital pipelines to connect cash-rich firms to institutional borrowers. Clients include large Private Equity funds, Asset Managers, listed Corporates, high-growth tech companies and many more.
Learn more about why we do what we do here .
The role: Financial Controller
As Financial Controller at TreasurySpring, you’ll take ownership of the company’s core financial operations and reporting functions. Sitting at the heart of our finance team, you'll be a key partner to the Finance Director and senior leadership, helping to build a scalable, forward-looking finance function as we continue to grow.
What we’re looking for: Requirements
ACA/ACCA qualified accountant with top 10 accountancy firm experience
>5 years post qualified experience
Someone who thrives in early-stage environments, bringing structure and improvement
Experience auditing start ups and scale ups would be advantageous
Ability to converse and liaise with people at all levels
Ability to multitask / good organisational skills
Experience with multi currency, multi entity businesses would be beneficial
A good team player
Good excel skills including data analysis and manipulation
Knowledge of Xero would be beneficial
What you’ll do: Responsibilities
Lead all core financial operations - month-end close, financial reporting, reconciliations, and internal controls
Produce and present accurate and timely management accounts
Oversee audit and tax processes, liaising with external advisors
Support strategic planning, budgeting, and forecasting processes in partnership with FP&A
Identify and drive process improvements, systems upgrades, and automation opportunities
Approve payment runs and review payroll for accuracy and compliance
Help the wider team with ad-hoc finance-related requests & queries
What we offer: Benefits
Competitive salary, depending on experience
Equity and quarterly bonus scheme
Unlimited Paid Leave
Hybrid office-working model - we're in a great location near Green Park station in London
Enhanced Parental Leave and Pay
Workplace Pension
Complete Bupa HealthCare Cover
Life Insurance
Income Protection Insurance
Access to Yulife (Employee Assistance Programme)
Remote Office set-up budget
Cycle to Work Scheme
A fun and dynamic working environment with regular team-building activities and events
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