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Group Treasury Manager

Pro-Finance
Posted 8 hours ago, valid for 23 days
Location

London, Greater London EC1R 0WX

Salary

£45,000 - £54,000 per annum

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Contract type

Full 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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  • The Group Treasury Manager position is a permanent role based in London with a salary range of £70,000 to £75,000.
  • This role involves coordinating treasury activities such as cash and liquidity management, banking rationalization, and cash flow forecasting for a large charity.
  • Candidates should have a track record of hands-on operational treasury experience, ideally within an international group structure.
  • Strong experience in cash management, foreign exchange risk management, and stakeholder collaboration is required.
  • The position seeks applicants with a commitment to continuous improvement and compliance with tax and legal requirements.

Group Treasury Manager | Permanent | £70,000 - £75,000 | London, Hybrid

For a large commercially focused charity in London, we're recruiting a permanent Group Treasury Manager. This role will support the group company and brands with the coordination of all treasury activities, in particular cash and liquidity management, banking rationalisation, FX exposure, cash projections, cash flow forecasting, and investment management.

Main Duties:

  • Support the Investment Committee including performance reporting and fund administration
  • Prepare and monitor the cash flow forecasts, using financial modelling to ensure cash management decisions are robust
  • Review, develop and implement cash management systems to optimise efficiencies meeting global group requirements
  • Operationally manage relationships with banks and other funders, ensuring compliance and regulations globally are met
  • Lead projects to rationalise the bank account portfolio and credit card processes, moving from manual to online processes
  • Ensure foreign exchange exposure is managed
  • Ensure all intragroup loans and credit facilities are compliant with tax and legal requirements

Person Specification:

  • Track-record of hands-on operational treasury experience, ideally in an international group structure
  • Strong experience of cash management, cash forecasting and implementing cash pooling arrangements for cash optimisation
  • Foreign exchange risk management
  • Track-record of continuous improvement delivery
  • Experience with reporting on group financial investments portfolio
  • Strong stakeholder management and collaboration experience

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As an employer, we are committed to ensuring the representation of people from all backgrounds regardless of their gender identity or expression, sexual orientation, race, religion, ethnicity, age, neurodiversity, disability status, or any other aspect which makes them unique. We welcome applicants from all backgrounds to apply and would encourage you to let us know if there are steps, we can take to ensure that your recruitment process enables you to present yourself in a way that makes you comfortable.

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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.