Key Responsibilities
- Responsible for leading the team in timely and accurate accounting in line with the global accounting policies and procedures of the London Stock Exchange Group.
- Identify any risks and process gaps and propose and implement remedial measures.
- Work closely with the Financial Controls team to ensure adherence to the control's framework.
- Ensure that the teams meet tight reporting and audit timelines.
- Support internal and external audit procedures by providing timely information.
- Ensure accurate and timely completion of tasks in support of the LCH Treasury function.
- Responsible on boarding new scope and aligning to standard operating model.
- Ensure that accurate balance sheet controls are in place and the teams are aligned.
- Gain and maintain an excellent understanding of key business processes.
- Review monthly financials to ensure accuracy.
- Build resilience and succession plans for key roles within the team.
- Support finance business partners to enable accurate reporting to respective business teams
- Liaise with the Centralized Finance teams and Finance Systems Support teams in identifying improvements or vital corrective actions needed.
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London Stock Exchange Plc
A leading global financial markets infrastructure and data provider with a purpose of driving financial stability, empowering economies and enabling customers to create sustainable growth.
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