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Assistant Vice President, Treasury Finance, 12 month Fixed Term Contract

MUFG Bank, Ltd

Greater London

On-site

GBP 60,000 - 90,000

Full time

Today
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Job summary

A leading financial institution is seeking an Assistant Vice President for Treasury Finance in London. The role involves financial reporting and controls, daily monitoring of accounting processes, and producing financial reports compliant with JGAAP and USGAAP. Ideal candidates will have robust financial accounting experience and a strong grasp of general ledger procedures. This position offers opportunities for professional development and involvement in strategic projects within a collaborative environment.

Benefits

Open to flexible working requests
Diversity and inclusion initiatives

Qualifications

  • Experience in financial accounting or reporting function.
  • Strong understanding of general ledger accounting and reconciliations.
  • Good understanding of maintaining a strong control environment.

Responsibilities

  • Daily and monthly monitoring for Financial Accounting and Reporting.
  • Production of quarterly JGAAP and semi-annual USGAAP reports.
  • Training and oversight of junior staff.

Skills

Financial accounting knowledge
General ledger accounting
VBA proficiency
Derivatives product knowledge
Problem solving

Education

Graduate & Professional Accounting qualification (ACA, ACCA, CIMA or equivalent)

Tools

Microsoft Excel
Job description
Assistant Vice President, Treasury Finance, 12 month Fixed Term Contract page is loaded## Assistant Vice President, Treasury Finance, 12 month Fixed Term Contractlocations: Londontime type: Full timeposted on: Posted Todaytime left to apply: End Date: January 26, 2026 (13 days left to apply)job requisition id: 10074413-WDDiscover your opportunity with Mitsubishi UFJ Financial Group (MUFG), one of the world’s leading financial groups. Across the globe, we’re 150,000 colleagues, striving to make a difference for every client, organization, and community we serve. We stand for our values, building long-term relationships, serving society, and fostering shared and sustainable growth for a better world.With a vision to be the world’s most trusted financial group, it’s part of our culture to put people first, listen to new and diverse ideas and collaborate toward greater innovation, speed and agility. This means investing in talent, technologies, and tools that empower you to own your career.Join MUFG, where being inspired is expected and making a meaningful impact is rewarded.The Financial Reporting and Controls team is responsible for effective financial management and stewardship of the detailed accounting records; general ledger & sub ledger reporting and control; as well as management of the external audit process. The team undertakes monthly & quarterly JGAAP & USGAAP reporting to Head Office; Regulatory Reporting to Prudential Regulation Authority (PRA) and Bank of England (BoE); Treasury Finance Reconciliation & Reporting; Reporting to the Bank of Japan; IFRS Governance and Reporting for Corporation Tax; and compliance with SOX Programme as governed by the Sarbanes-Oxley Act.London Finance team also proactively support and mentor Finance departments of other EMEA units in areas of Accounting, Taxation and Internal Controls.Join MUFG, where being inspired is expected and making a meaningful impact is rewarded.**NUMBER OF DIRECT REPORTS**None**MAIN PURPOSE OF THE ROLE*** Reporting to Team Heads responsible for Finance Treasury and for Financial Reporting & Controls.* Deputising for Head of Finance Treasury and representing Finance Treasury team in discussions and meetings with Bank and MUSE colleagues* Advise MUFG colleagues in London and EMEA to nurture a broader understanding of MUFG processes and approaches to ensure that they are aligned to deliver outstanding service to internal and/or external clients* Daily and monthly monitoring for Financial Accounting, Control and HO Reporting under JGAAP, USGAAP and IFRS, specilaising in Global Markets (EGMD) and Credit Portfolio Management (ECPMO) businesses, and provision of advice and MI to respective stakeholders.* Ensure daily P&L and general ledger is consistent with accounting and booking policy.* Produce monthly financial reports, including P&L and balance sheet for HO and Regulatory Reporting purposes.* SME and lead in strategic projects* Acting in capacity of One MUFG**KEY RESPONSIBILITIES*** Performance/review of daily reconciliation between Front Office and Back Office systems.* Investigation of reconciliation differences with respective areas of the bank and advising on root cause and corrective actions.* Production/review of daily/monthly/ad-hoc reports for internal purposes.* Production/review of quarterly JGAAP and semi-annual USGAAP reports, and other relevant reports for internal and external use.* Monthly P&L signoff from Treasury.* Quarterly hedge monitoring.* Production of IFRS related data for local tax calculation and reporting* Subject matter expert in derivatives/treasury areas* Review of new requirements impacting Treasury reporting and providing solutions in terms of booking and reporting.* Implementing effective process controls and process re-engineering through involvement in strategic projects.* Leveraging Business Intelligence and knowledge of systems architecture to develop and automate processes to enhance control and increase efficiencies.* Monthly GL closing, including review of key controls and comprehensive ownership of underlying data.* Training and oversight of junior staff* Engaging with external auditors to support the process throughout the cycle, including interim procedures, controls review and year-end substantive testing.**WORK EXPERIENCE**Essential:* Experience in financial accounting or reporting function* Strong understanding of general ledger accounting, reconciliations and month end close processes* Good understanding of establishing and maintaining a strong control environmentPreferred:* Experience in banking/financial services, preferable in Treasury finance area.**SKILLS AND EXPERIENCE****Functional / Technical Competencies:**Essential* Good understanding of VBA* Product (Derivatives) knowledge**Education / Qualifications:**Essential* Graduate & Professional Accounting qualification (ACA, ACCA, CIMA or equivalent)**PERSONAL REQUIREMENTS*** Excellent Microsoft Office skills.* Proficient with Excel/ VBA* Excellent communication/interpersonal skills.* Results driven, with a strong sense of accountability.* A proactive, motivated approach.* The ability to operate with urgency and prioritise work accordingly.* Strong decision making skills, the ability to demonstrate sound judgement.* A structured and logical approach to work.* Strong problem solving skills.* A creative and innovative approach to work.* The ability to manage large workloads and tight deadlines.* Excellent attention to detail and accuracy.* A calm approach, with the ability to perform well in a pressurised environment.* Strong numerical skills.We are open to considering flexible working requests in line with organisational requirements.MUFG is committed to embracing diversity and building an inclusive culture where all employees are valued, respected and their opinions count. We support the principles of equality, diversity and inclusion in recruitment and employment, and oppose all forms of discrimination on the grounds of age, sex, gender, sexual orientation, disability, pregnancy and maternity, race, gender reassignment, religion or belief and marriage or civil partnership.We make our recruitment decisions in a non-discriminatory manner in accordance with our commitment to identifying the right skills for the right role and our obligations under the law.
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