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Assistant Treasury Manager
  • United Kingdom - London -
2 years ago
£ 40000 Per year
Finance Manager
Permanent,Full-time
Job Description

You will monitor the Day-to-day operational delivery of our treasury function to maintain financial liquidity meeting cash flow needs. Maintain a robust framework of controls to manage treasury risks. Provide high quality management information.

Within this role you will?

  • Contribute to an engaged and high performing Corporate Finance team; priorities tasks to meet key milestones; apply judgment showcasing the highest professional standards, culture of continuous improvement and exemplary Optivo CORE values.
  • Take part in the development and execution of treasury strategy including bond issues, bank loans, unsecured loans, derivative transactions, cash deposits, money-market fund investments and other products.
  • Maintain in-depth knowledge of treasury portfolio and deliver required information to counterparties on time.
  • Report accurately against all corporate financial covenants including gearing, interest cover and investment limits; security-related covenants including asset cover and income cover tests; and non-financial covenants, identifying when lender consents are required for business decisions.
  • Coordinate occasional reporting to the regulator and credit rating agencies.
  • Forecast near-term cash flows (with Cash Book team) across the entire business and manage loan drawdowns, rollovers, cash deposits, investment balances and intra-group transactions to ensure funds are readily available to settle liabilities as they fall due.
  • Make recommendations and implement agreed decisions on the placement of cash, balancing risk and reward in line with our treasury policy.

What's in it for you?

  • Pension
  • Life assurance
  • Healthcare cash plan
  • Eye care & dental
  • Birthday leave
  • Retailers discounts
  • Cycle to work
  • Buy & sell annual leave
  • Season ticket loan
  • In-house academy & career development
  • Flexible working

Required Knowledge, Skills, and Abilities
  • Understanding of key treasury products and treasury management principles
  • Professional qualification in treasury, banking, accounting or equivalent (such as ACA, ACCA, CIMA, CF, ACT, ACIB), or commitment to work towards one
  • Knowledge of financial reporting, financial benchmarking, interpretation and analysis of financial statements and metrics is desirable
  • Experience of Lenders’ key financial metrics is desirable and ratings agencies’ credit assessment methodologies is desirable but not essential
  • Experience of UK social housing or residential property development is desirable
  • Excellent Excel modelling skills and model discipline applied to Treasury products
  • Standard of written communication suitable for Board reports and external publication
  • Prior training to use Treasury Management Systems is desirable but can be provided

Reference no: 98856

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