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Treasury Manager
  • United Kingdom - West Midlands - Birmingham - B3
1 year ago
£45000 - £50000 Per year
Manager
Permanent,Full-time
Job Description

What will you be doing?

With responsibility for managing group treasury operations and supporting the group entities with treasury administration, specific responsibilities will include:

  • Develop cash reporting, forecasting, covenant management and compliance processes
  • Monitoring debt facilities including adherence to covenant and credit insurance requirements
  • Development of FX and a risk management framework to satisfy daily cashflow needs
  • Management of FX hedging
  • Oversee banking processes (such as mandates, electronic banking platforms etc) across group operations
  • Support group finance with M&A activity from a treasury perspective

Required Knowledge, Skills, and Abilities
To be successful in this role you will need to possess at least two years relevant treasury experience gained within a group corporate environment. Qualifications, skills and personal attributes required are as follows: Degree educated (2:1 or above) and part-qualified or qualified ACT (or equivalent) Familiar with bank platforms and payment systems including FX transactions and a strong understanding of KYC and bank mandate processes / compliance Excellent planning and time management skills Highly analytical and systematic in approach with advanced Excel skills Passionate about accuracy and quality with a continuous improvement approach Excellent communication skills and able to present highly accurate and insightful data Able to work effectively on an individual and team basis

Reference no: 25653

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