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Treasury Manager
  • United Kingdom - London -
2 years ago
£55000 - £65000 Per year
Treasury Manager
Permanent
Job Description

You will be responsible for the cash flow forecasting, financial analysis, compliance reporting, interest rate and FX risk management and periodic reporting.

Key Responsibilities

  • Assisting Head of Treasury in cash flow forecasting, financial analysis and related reporting
  • Ownership of analysis for divisional cash flow forecasting and related system administration
  • Assisting in producing the periodic loan facilities related reporting - covenant calculations and compliance certificate
  • Supporting in the Treasury related work streams
  • Reporting monthly FX rates
  • Weekly cash flow dashboard
  • Monthly FX and interest rates
  • Providing support and cover for Treasury's daily operational activities and cash management

Required Knowledge, Skills, and Abilities
  • Prior experience working in a Treasury function
  • Experience in working with a Treasury Management System
  • Good understanding of international cash management
  • Commercial awareness
  • Demonstrable experience of producing accurate, time sensitive reporting
  • You will ideally be studying towards an ACT qualification (desirable)

Reference no: 99392

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