Treasury Manager
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United Kingdom - Leicestershire - Coalville -
Job Description
You will oversee Treasury operations including:
- Liquidity planning and control.
- Management of financial risks.
- Procurement of finance and financial investments.
- Contact with external financiers.
- Corporate finance.
- Treasury reporting.
What’s on offer?
- Competitive Salary, bonus and benefits recognizing the contribution you bring
- Opportunities for Career Progression both at home and abroad
- An inclusive and safety focused culture with people at the heart of the business
Required Knowledge, Skills, and Abilities
A strong track record delivering Treasury services in a large corporate environment. Demonstrable experience in complex consolidation and International Financial reporting standards (IFRS) alongside in depth treasury knowledge. Professional Accounting designation (i.e. CIMA, ACA, ACCA). University Degree in Accounting or a related business field. CTP (Certified Treasury Professional), CFA (Chartered Financial Analyst), CFP (Chartered Financial Planner) would be a distinct advantage. Ability to think analytically, apply logic and solve problems in a pragmatic way. Be able to work collaboratively as part of a team, engage well and communicate across the wider business and Group. Strong IT skills and knowledge of ERP systems and controls Proven organizational skills with the ability to handle multiple tasks and complete work assignments within specified deadlines. The role does require an element of travel as and when the need arises.