Skip to main content

This job has expired

Interim Treasury Manager

Employer
Michael Page Finance
Location
Wales, Cardiff
Salary
Negotiable
Closing date
Jul 8, 2021

View more

Job Role
Treasury
Sector
Banking
Contract Type
Interim
Hours
Full Time

Job Details

This is a great opportunity to work with an excellent Financial Services business on a 100% remote basis

Client Details

My client is a fast growth Financial Services business based in South Wales

Description

As Treasury Manager you will be responsible for technical and analytical treasury-related recommendations to the executive team. You will minimise financial and liquidity risk to the business through sound operational treasury practices, deliver cost-efficient funding of the business and maintaining a sound and effective control environment.

The ideal candidate will have a good academic background, and treasury experience within a service-led business. This is a vital role for the business and the successful applicant will be responsible for the financing of the company's loan portfolio, management of warehouse facilities, banking relationships and long term funding strategies.

To be successful in this role, the candidate will need to be detailed oriented, possess strong communications skills and have the ability to take complex data and break it down with recommendations for senior management to make informed business decisions.

Key Responsibilities and Objectives:

  • Day to day treasury and cash management, including managing intergroup funding arrangements.
  • Coordination and management of cash flow forecasting and payments.
  • Monitoring incoming and outgoing funds movements, loan book and external/internal funding.
  • Monthly covenant reporting, related forecasts to highlight any issues to senior management.
  • Support the Head of Structured Finance in sourcing new funders, then developing and managing those relationships.
  • Ensuring adequate liquidity is maintained in the business.
  • Assessing the market for risks, proposing and presenting a strategy to senior management.
  • Monitor and ensure proper operational liquidity and cash balances maintained in all bank accounts
  • Interface on a regular basis with the global finance team to make them aware of treasury/cash management issues.
  • Understand company credit facilities.
  • Verify, monitor and execute all monthly/quarterly interest expense payments for warehouse facilities.
  • Work with internal departments to accurately forecast timing and amount of future cash flows.
  • Interface with internal and external auditors/accountants & in-house/external counsel regarding credit facilities.

Profile

  • ACA/ACCA/CIMA/CTA qualified accountant
  • Proven and relevant corporate treasury experience from a commercial role in a service based industry
  • Demonstrated expertise in developing financial models
  • Expert user of Microsoft Excel, and planning tools - proven ability to rapidly build comprehensive financial models
  • Ability to work in a fast paced environment
  • Experience working with senior management team
  • Excellent attention to detail
  • Excellent verbal and written communication skills
  • Capable of staying on track and pursuing solutions with limited supervision
  • Strong stakeholder management skills
  • Comfortable communicating with senior management is essential
  • Self-motivated and able to work to tight deadlines

Job Offer

A negotiable day rate contract (inside scope of IR35)

immediate start

100% reomte throughout the UK

Initial 6 month contract. Could be extended or turn T2P for the right person

Company

Michael Page specialises in the permanent, temporary and interim recruitment of qualified accountants. In fact, our organisation was founded to provide selection and recruitment services for accounting professionals and has been a market leader in this field for more than 35 years.

We have earned the trust of clients in industry and commerce, the banking and financial services markets and the public and not-for-profit sector. We also have an exemplary track record of completing assignments for everyone from small, boutique practices to the Big Four firms.

Many of our consultants have a background in accounting and finance – that’s real, grass roots expertise at your disposal. Combine that with the global reach you get from a company that has over 155 offices in 36 countries and you’re looking at a pretty formidable package. We are confident no other consultancy is better qualified to help you make that crucial, next step in your career.

Get job alerts

Create a job alert and receive personalized job recommendations straight to your inbox.

Create alert