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: