Treasury Business Partner

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FNZ
City of Edinburgh
USD 60,000 - 100,000
Be among the first applicants.
4 days ago
Job description

Role Description

The purpose of this role is to provide support and leadership across the FNZ Group Treasury team. Primarily focusing on the business partnering aspect of global cash flow management, as well as supporting other corporate treasury activity including FX dealing, risk management and Board reporting.

This role requires you to develop an understanding of key commercial drivers, engage proactively with Senior Management and challenge internal stakeholders to achieve target cash flows.

This is a pivotal role that will not only help to build resilience in our available liquidity but also play a key part in the growth and success of FNZ’s global business.

This role will report directly to the Director of Group Treasury and requires attention to detail and a strong personality with great communication skills to ensure high standards and consistent reporting is maintained.

Specific Role Responsibilities

Cash flow and liquidity reporting:

  1. Own and manage regional cash flow engagement with Global Heads of each Region and Regional CFOs, embedding accountability on regular forecast commitments and appropriate escalation of any issues on a timely basis.
  2. Partner with appropriate business areas such as Delivery and Operations to ensure timely flow of information between functions and regions in order to drive consistency in cash flow forecasting.
  3. Coordinate and review monthly ExCo and Board reporting packs, including KPI reporting, commentary and variance analysis.
  4. Support the Director of Group Treasury on various projects, including maximising value from excess cash, maintaining Group Treasury policies and optimising hedging strategy.

Business partnering and Treasury operations:

  1. Act as a key finance liaison to various internal stakeholders, with the aim to drive accuracy in forecasting and actions to optimise business performance, as well as to further regional business performance accountability.
  2. Provide insightful analytical review and reporting to challenge business performance and forecasting.
  3. Support the regional CFOs to maintain liquidity risk metrics within risk appetite and advise on mitigating actions.
  4. Policy review and recommendations across all areas including operational efficiency, governance, cash investment and optimisation, hedging, FX management and banking structure.

Experience required

Preferred but not essential

  1. Experience in either treasury or operational cash management, FP&A, or forecasting/budgeting role.
  2. Experience working with finance software (e.g. Nav/D365) and/or data analytic software (e.g. Power BI).
  3. Finance or Treasury qualification (e.g. CA/ACCA/CIMA/CFA or equivalent).

Requirement:

  1. Experience managing senior-level stakeholders and building relationships across diverse teams and geographies.
  2. Confident individual able to manage their own workload effectively to meet deadlines.
  3. A strategic mindset with a passion for problem-solving and continuous improvement.
  4. Excellent written and verbal communication skills, with the ability to present and liaise at the appropriate level.
  5. A history of managing projects across national and international locations, delivering results in a commercial environment.
  6. Enjoy working in a fast-paced environment and as part of a high-performance team.

About FNZ

FNZ is a global FinTech firm, transforming the way financial institutions serve their wealth management customers. It partners with banks, insurers and asset managers to help consumers better achieve their financial goals. FNZ's technology, transaction and custody services enable their clients to provide best-in-class wealth management solutions to financial advisers, end-investors and the workplace that are efficient, flexible, transparent and scalable, supporting market, demographic and regulatory trends worldwide.

FNZ is committed to opening up wealth so that everyone, everywhere can invest in their future on their terms. We know the foundation to do that already exists in the wealth management industry, but complexity holds firms back.

We created wealth’s growth platform to help. We provide a global, end-to-end wealth management platform that integrates modern technology with business and investment operations. All in a regulated financial institution.

We partner with over 650 financial institutions and 12,000 wealth managers, with US$1.5 trillion in assets under administration (AUA).

Together with our customers, we help over 20 million people from all wealth segments to invest in their future.

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