Description
The Financial Modelling Manager will report to the Head of Financial Modelling and lead the development, maintenance, governance, and validation of the group’s financial modelling framework. The role supports hedge effectiveness, effective interest rate calculations, cash flow modelling, investment valuations, and transaction assessments across lending and treasury portfolios, while performing financial analysis, forecasting, stress testing, and scenario modelling. Candidates should be qualified accountants or hold an equivalent quantitative finance qualification, have banking or financial services experience, and possess strong financial modelling, IFRS, Excel, VBA, and Python skills.
