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Temporary Group Treasury and Capital Accountant

Pavilion Recruitment Solutions
Posted a day ago, valid for 7 days
Location

London, Greater London EC2V 7WS, England

Contract type

Part Time

In order to submit this application, a Reed account will be created for you. As such, in addition to applying for this job, you will be signed up to all Reed’s services as part of the process. By submitting this application, you agree to Reed’s Terms and Conditions and acknowledge that your personal data will be transferred to Reed and processed by them in accordance with their Privacy Policy.

Sonic Summary

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  • My client, a leading London Market Insurer, is seeking a Group Treasury & Capital Accountant for a 10-month contract.
  • The role requires a qualified accountant with experience in system migration for capital and treasury, along with a strong academic background.
  • Key responsibilities include enhancing treasury and capital processes, supporting ERP migration, and managing cash flow reporting.
  • The position offers a competitive salary of £70,000 per year.
  • Candidates should have a proven ability to streamline processes and ideally possess knowledge of Workday and Treasury Management Systems.

My client, a leading London Market Insurer, is looking for a Group Treasury & Capital Accountant for 10 months.

Key focus areas

  • Enhance treasury and capital processes
  • Streamline accounting processes with Group finance teams
  • Provide clear balance sheet summaries for Investments and Treasury
  • Support the ERP migration under the Future of Finance initiative
  • Assist in capital and cash flow reporting and process improvement
  • Manage intercompany balances and finance costs
  • Develop cash flow forecasting

Role responsibilities

  • Monitor and review intercompany, loan, and deposit balances monthly
  • Reconcile the ledger with bank transactions
  • Review interest calculations for deposits and loans
  • Streamline processes with operations and accounting teams, developing a dashboard for MI
  • Support cash flow forecasting
  • Integrate Treasury management system data into the forecasting process using the Capital Forecasting Model
  • Produce annual finance forecasts and reforecasts
  • Monitor finance costs and reconcile them to the ledger
  • Analyse variances from the plan
  • Develop a cost dashboard for MI
  • Streamline the finance cost expense management process
  • Produce a cash-based expense forecast to feed into cash flow forecasting
  • Work with the Assistant Capital Accountant to maintain the Capital Forecasting Model (CFM)
  • Support Group and Entity-level capital reporting
  • Ensure entity-level balance sheets and P&Ls are available for capital projects
  • Assist internal capital workstreams as needed
  • Contribute to Board paper preparation
  • Act as the main point of contact for the Capital & Treasury team in the project
  • Ensure CFM functionality is integrated into the new Finance system
  • Incorporate revised intercompany, cash flow, and expense processes into the system
  • Support treasury-related testing for the Future of Finance project
  • Implement adequate controls for new processes
  • Complete periodic financial controls
  • Assist with audits and bank compliance reporting

Qualifications and Experience

  • Qualified Accountant
  • Workday and Treasury Management Systems knowledge (preferred)
  • Experience in system migration for capital and treasury
  • Proven ability to streamline capital and treasury processes
  • Strong academic background

Apply now in a few quick clicks

In order to submit this application, a Reed account will be created for you. As such, in addition to applying for this job, you will be signed up to all Reed’s services as part of the process. By submitting this application, you agree to Reed’s Terms and Conditions and acknowledge that your personal data will be transferred to Reed and processed by them in accordance with their Privacy Policy.