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Lloyds Banking Group

Financial Planning & Analysis Manager – Group Corporate Treasury

Lloyds Banking Group

Manager of Financial Planning & Analysis for Lloyds Banking Group's Corporate Treasury team. Supporting financial reporting and analysis efforts to drive informed decision making in finance.

Posted 7/23/2026full-timeLondon • 🇬🇧 United KingdomMid-LevelSenior💰 £57,150 - £63,500 per yearWebsite

Core Competencies

Role fit
Core Competencies

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Demonstrates expertise in financial reporting and analysis, with a strong understanding of accounting principles and the ability to communicate complex financial information clearly to non-finance stakeholders. Proficient in utilizing various data sources and systems to enhance financial control and reporting processes.

Highest-signal resume keywords
Qualified AccountantFinancial ReportingBudget TrackingProcess ImprovementTreasury Understanding

ATS Keywords

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Applicant Tracking System Keywords

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Hard Skills
Financial AnalysisProfit & Loss ReportingAccounting PrinciplesVariance AnalysisData Interpretation
Soft Skills
CuriosityClear CommunicationInitiative
Tools & Technologies
Power AppsAIAutomation
Certifications & Qualifications
Fully Qualified Accountant
Industry Keywords
GCT ProductsFinancial ControlStakeholder Interaction

About the role

Key responsibilities & impact
  • Support the preparation and reporting of GCT financial results, including forecasts and actuals, with a focus on clearly explaining what the numbers mean.
  • Develop a strong understanding of how different systems feed into the Profit & Loss (P&L), asking questions to build insight and improve financial reporting.
  • Track budgets, identify variances, and confidently explain movements in a clear, simple, and logical way to senior team members.
  • Translate complex financial information into straightforward messages that can be easily understood by non‑finance stakeholders.
  • Support stress testing activities, showing curiosity about how different scenarios impact the business and using results to understand key drivers.
  • Build a solid understanding of accounting principles and apply them thoughtfully to ensure accurate and well‑reasoned financial reporting.
  • Actively look for opportunities to improve processes and systems, using curiosity and initiative to support enhancements through Power Apps, AI, and automation.
  • Work with a variety of data sources and processes, asking thoughtful questions to help answer business and performance‑related queries.
  • Support senior colleagues with client and stakeholder interactions, communicating financial information clearly and following agreed processes and controls.

Requirements

What you’ll need
  • A fully qualified accountant.
  • Minimum 3 years of experience in a similar finance-based role.
  • An understanding or background in Treasury.
  • An interest in, and developing awareness of, GCT products and activities.
  • A curious mindset and strong appetite to learn new systems to improve financial control and reporting.

Benefits

Comp & perks
  • A generous pension contribution of up to 15%
  • An annual performance-related bonus
  • Share schemes including free shares
  • Benefits you can adapt to your lifestyle, such as discounted shopping
  • 28 days’ holiday, with bank holidays on top
  • A range of wellbeing initiatives and generous parental leave policies