Permanent position for a Treasurer based just outside city centre needs a collaborative, hands-on, analytical thinker who enjoys working with regional teams. This is a challenging and rewarding role within a dynamic global organisation undergoing an exciting transformation. It offers excellent opportunities for professional growth and development, along with a competitive compensation and benefits package.
Key Responsibilities:
- Overseeing daily cash management activities, including cash positioning, transfers, and disbursements.
- Monitoring and managing the company’s cash flow on a daily, weekly, and monthly basis to ensure adequate liquidity.
- Assisting in the development and enhancement of cash flow forecasting models.
- Cash Flow Forecasting: Working with regional Finance Teams to gather and consolidate cash flow forecasts.
- Supporting Global Treasurer with reporting to the Liquidity Committee.
- Analysing cash flow projections and identify variances, providing actionable insights to the Group Treasurer.
- Supporting the implementation of best practices in cash flow forecasting and management.
- Working with FP&A to maintain consistency between liquidity and business forecasts.
- Assisting in managing intercompany funding and pooling arrangements.
- Supporting foreign exchange transactions and hedging activities.
- Ensuring accurate and timely reporting of treasury-related activities.
- Maintaining relationships with banks and financial institutions, ensuring efficient banking operations.
- Assisting in the negotiation and management of banking facilities and agreements.
- Monitoring bank account structures and optimise account usage.
- Assisting in assessing and managing financial risks, including foreign exchange, interest rate, and credit risks.
- Supporting the development and execution of risk mitigation strategies.
- Collaborating with regional Finance Teams to understand their cash flow needs and provide support.
- Acting as a liaison between the Group Treasurer and other internal stakeholders.
- Promoting a culture of financial discipline and continuous improvement.
- Providing support and guidance to the treasury team, ensuring alignment with the company’s strategic goals.
- Assisting in training and development initiatives for the Treasury Team.
- Supporting the Group Treasurer in various projects and initiatives as needed.