Join a leading financial services organisation as a Financial Modelling Manager, where you'll play a key role in delivering sophisticated financial models, stress testing and scenario analysis that support critical business and regulatory decisions. Working closely with senior stakeholders, you will develop and enhance complex financial models, analyse large data sets, and provide clear commercial insights that drive strategic outcomes.
Key Responsibilities
Develop, maintain and enhance complex financial models for forecasting, stress testing and scenario analysis
Deliver insightful analysis to support business planning, capital management and risk assessment
Partner with senior stakeholders across finance, treasury, risk and banking functions
Translate complex modelling outputs into transparent, actionable recommendations
Ensure robust model governance, documentation and data integrity
About You
Strong financial modelling expertise with advanced Excel skills
Experience within banking, financial services, treasury or a related environment
Knowledge of tools such as TM1, Anaplan or similar financial planning platforms
Strong analytical and problem solving capability
Excellent communication skills with the ability to influence senior stakeholders
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