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Interim Group Treasurer - Fixed Term Contract

Trinity House Group
Posted 4 days ago, valid for 6 days
Location

London, Greater London EC2V7NQ, England

Salary

£85,000 - £102,000 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 position involves reviewing and improving treasury processes and controls to enhance efficiency.
  • Candidates should have at least 5 years of experience in treasury management and related financial activities.
  • The role oversees daily cash activities, cash flow forecasting, and cash planning to ensure financial stability.
  • The salary for this position is competitive and commensurate with experience, typically starting around $90,000 annually.
  • Additionally, the role requires strong collaboration with finance teams, banks, and lenders, providing timely treasury reports and recommendations.
Main Duties and ResponsibilitiesTreasury Processes and Controls
  • Review, challenge, and continuously improve treasury processes and controls to enhance efficiency and effectiveness.
Cash 
  • Oversee daily cash activities to meet local funding needs.
  • Drive excellence in cash flow forecasting and implement best practices.
  • Lead the cash planning process, including balance sheet budgets/forecasts and short-term cash forecasts for the Group.
  • Monitor cash positions and borrowing needs to ensure financial stability and operational funding.
  • Optimise cash extraction from overseas entities to minimise borrowing requirements.
Risk 
  • Evaluate and strengthen internal controls across all banking and treasury processes.
  • Ensure compliance with Treasury Policies and drive adherence across the organisation.
  • Execute and monitor FX hedging strategies aligned with Treasury Policies and evolving business needs.
  • Analyse and report on FX impact and key drivers.
  • Collaborate with the central tax team to review and monitor tax implications of treasury activities.
Funding
  • Manage overdrafts and revolving credit facility drawdowns/repayments.
  • Monitor compliance with financial covenants and assess future covenant impacts.
Business Partnering
  • Build and strengthen relationships with international finance teams, banks, and lenders.
  • Deliver timely and insightful treasury reports, including updates for the Executive team and Board.
  • Act as a trusted consultant, providing treasury recommendations and advice.

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.