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About the Role
In this broad, hands-on position at the heart of KFSUK's Finance function, you will work closely with the Head of Finance and Group Finance stakeholders to own the month-end close process and regulatory reporting, ensuring accuracy, completeness and timeliness across the P&L, balance sheet, and daily safeguarding reconciliations in line with FCA requirements. You will prepare management accounts and reporting packs for internal stakeholders, the Consumer Credit and Finance Committee (CCFC) and the KFSUK Board, lead the annual budget and quarterly reforecast process, and build longer-term financial forecasting models covering P&L, balance sheet, capital and liquidity projections. On the treasury side, you will monitor cash and intercompany balances and take ownership of KFSUK's annual stress testing. You will also support tax, transfer pricing and governance activities, including VAT and corporate tax compliance, the quarterly IGSA review and service fee calculations, and audit support for external statutory and safeguarding audits. Beyond day-to-day financial control, you will contribute to strategic initiatives shaping the future of KFSUK and the UK market.
Responsibilities
- Own the month-end close process and regulatory reporting.
- Ensure accuracy, completeness, and timeliness across P&L, balance sheet, and daily safeguarding reconciliations.
- Prepare management accounts and reporting packs for internal stakeholders, CCFC, and the KFSUK Board.
- Lead the annual budget and quarterly reforecast process.
- Build longer-term financial forecasting models.
- Monitor cash and intercompany balances.
- Take ownership of KFSUK's annual stress testing.
- Support tax, transfer pricing, and governance activities.
- Support VAT and corporate tax compliance.
- Support quarterly IGSA review and service fee calculations.
- Provide audit support for external statutory and safeguarding audits.
- Contribute to strategic initiatives.
Requirements
- Qualified finance professional (ACA, ACCA, CIMA or equivalent).
- Post-qualification experience in a regulated financial services environment.
- Strong analytical skills.
- Proactive, problem-solving mindset.
- Strong financial modelling skills.
- Comfortable working with large data sets.
- Excellent written and verbal communication skills.
- Ability to communicate complex finance matters clearly.
- Ability to manage multiple deadlines independently.
- Hands-on experience with month-end close, management reporting, or regulatory reporting in a financial services environment.
- Include a CV in English.
Skills
- Financial modelling
- Data analysis
- Communication
- Time management
- Month-end close
- Management reporting
- Regulatory reporting
- Treasury
- Capital management
- Liquidity management
- Tax compliance
- FCA regulatory reporting
- Transfer pricing
- Intercompany governance
- Audit support
Education Level
- ACA, ACCA, CIMA or equivalent qualification
About the Company
- Explore our career site to learn more about Klarna and what it's like to work here.