We drive the transformation of the financial markets. That’s why we invest in bright minds, in their ideas, knowledge and development. We do that by combining our best sides.


If you would like to find out why stability makes us so agile, why experience makes us so curious and why empathy makes us so impactful, apply now.



 Financial Controller

London | working from home up to 60% | Reference 5413



With the ongoing and successful evolution of the organisation’s business environment, the finance unit requires a Financial Controller responsible for the management of Regis-TR UK’s company accounts, internal controls, Sales administration and reporting requirements. The department consists of a team of four who work closely and collaboratively together. The primary function of the finance unit is to support the financial and commercial activity for the Group’s UK entities from both a compliance and management accounting perspective.

The role will require you to liaise with internal stakeholders, external suppliers and consultants as well as the Finance department at head office in Zurich. This role is a development role with potential to share in the leadership of the organisation’s financial and accounting management.



What You Will Do

  • manage the Company’s Revenue to receipts process. This includes calculating deferred income and revenue accruals, Debtor reporting, Dunning and Cash Collection, and maintaining accurate revenue forecasts
  • assist business users setting up POs, handle vendor queries, and process manual payments that fall outside the automated centralised process. You are responsible for managing employee credit cards and cash expenses.   
  • the Financial Reporting function includes calculating and uploading monthly journals, fixed asset management including impairment testing, preparation of the local Management Accounts including TB, Income Statement, Balance Sheet and Variance analysis of actual/forecast versus Budget. This role will be responsible for Group reporting and Notes Management, preparation of the annual statutory accounts, handling both internal and external audits    
  • work with the external provider to complete the tax computation and submission of the tax return, calculating quarterly VAT and submitting to the tax authorities, calculating WHT, managing intercompany agreements for transfer pricing compliance and managing external filings with the FCA     
  • process daily bank statements, monthly bank reconciliations, Liquidity reporting to Group and External authorities and administrator responsibility for the Company’s online banking and bank mandate tasks

What You Bring

  • undergraduate degree in any discipline 
  • part qualified in Finance and Accounting – ACCA or CIMA
  • able to work autonomously and as part of a team
  • self-starter with advanced excel skills, prior experience with SAP and familiarity with local tax authority’s portals 
  • excellent communication skills

If you have any questions, please call Jake Browne at +44 207 550 5415.


For this vacancy we only accept direct applications.


Diversity is important to us. Therefore, we are looking to receiving applications regardless of any personal background. 

What We Offer

Flexible Work Models
We trust our employees and offer a work environment that is well-balanced, productive and fosters success. 

Personal Development
You will benefit from a culture of continuous learning and feedback. Your personal growth is supported through an extensive learning offering.

Agile Working Methods 
Whether through scrum or design thinking,
we solve exciting tasks together in teams.