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Treasury Manager in London)

Marc Daniels Specialist Recruitment Ltd

London

On-site

GBP 60,000 - 100,000

Full time

7 days ago
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Job summary

An established industry player is seeking a Treasury Manager to elevate their treasury function. This role involves creating a standalone treasury operation, managing cash flow, and mitigating foreign exchange risks. The ideal candidate will have a strong background in treasury management within large organizations and possess excellent communication and Excel skills. You will work closely with finance teams to enhance strategies and controls, ensuring that the treasury function supports the business effectively. If you are proactive and collaborative, this is a fantastic opportunity to make a significant impact in a dynamic environment.

Qualifications

  • Experience in a treasury function of a large organization.
  • Strong understanding of foreign exchange risk and hedging.

Responsibilities

  • Setting and reviewing treasury strategy and policies.
  • Managing day-to-day cash and ensuring compliance.
  • Leading the mitigation of foreign exchange risk.

Skills

Treasury Management
Cash Management
Foreign Exchange Hedging
Reporting
Forecasting
Excel Skills
Communication Skills
Relationship Building

Job description

A market leading business is looking to recruit a Treasury Manager to create a standalone function and take the management of treasury to the next level. The business is seeking a hands-on treasury professional with a good understanding of the core requirements of treasury, including but not limited to cash management, foreign exchange hedging, reporting, controls, and forecasting. The role will need to work closely with the other business operations finance teams.

Responsibilities:
  1. Setting and reviewing treasury strategy, processes, policies, and controls in collaboration with the Group Financial Controller and CFO
  2. Managing day-to-day cash on hand and on deposit, ensuring compliance with the Treasury Policy
  3. Managing bank mandates so that access to bank accounts is restricted appropriately and efficiently
  4. Leading the mitigation of foreign exchange risk through various means including natural hedging and financial instruments
  5. Improving cash flow forecasting and reporting for tactical and strategic decision making
  6. Managing relationships with relevant institutions
  7. Exploring more complex tools to assist in the management of risk and return
  8. Enhancing controls and documentation around payment authorisations
  9. Understanding the requirements of the business in the near and longer term to ensure the function is able to support the business appropriately
Requirements:
  1. Experience in a treasury function of a large organisation
  2. The drive and ability to create a new business function that is understood and adds value
  3. A good understanding of foreign exchange risk, exposure, and hedging
  4. A collaborative approach, working alongside and understanding the needs of various different teams
  5. Good Excel and modeling skills
  6. A good communicator and relationship builder
  7. Confident, collaborative, proactive, and professional approach
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