Finance Controls and Risk Manager
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Job Description
The Finance Controls and Risk Manager will play a key role in strengthening the organisation’s financial control environment and embedding a proactive approach to risk across the Finance function.
Working closely with Finance leadership, second line risk functions, external auditors and regulators, you will support the development and implementation of effective controls and risk mitigation strategies, while helping to ensure the quality, integrity and compliance of financial reporting.
The role will involve developing and maintaining control frameworks, supporting audit readiness and identifying opportunities for continuous improvement. You will also work with stakeholders across the organisation to promote best practice and ensure financial risks are effectively identified, assessed and managed.
The role operates on a hybrid basis, with a requirement to spend at least two days per week away from home, increasing to three days per week in the future. This may include time at office locations, client visits or industry events.
Essential Selection Criteria
Candidates should have experience developing and maintaining control frameworks, including control attestations and documentation, with the analytical skills to identify, evaluate and mitigate risk effectively.
Strong leadership, stakeholder management and communication skills are essential, with the ability to influence and collaborate across multiple teams and communicate complex risk matters clearly to senior management, auditors and regulators. You should also be highly organised and comfortable managing multiple priorities and deadlines.