Senior Treasury Manager

4646644
  • Job type

    Permanent
  • Location

    London
  • Working Pattern

    Full-time
  • Specialism

    Tax And Treasury
  • Industry

    Advertising, Media and PR
  • Pay

    £80,000 - £100,000

Senior Treasury Manager

Your new company

A growing media company based in Centra London is seeking a Senior Treasury Manager to build out the function.

Your new role

In your new role as a Senior Treasury Manager, you will support the Group Finance Director and CFO in the strategic cash planning and day-to-day management of the company’s cash to maximise liquidity. You will be a self-starter who has previously worked in a stand-alone Treasury Role and been in the development of operational duties and prepared to ‘roll your sleeves up' given the hands-on style of the wider senior management team.

Duties

Cash Management of all group investments, day-to-day cash management, cash flow forecasting and all electronic banking systems
Support and ongoing involvement in all group borrowing, bank relationship management. All cash related activities, including the security and control of payments and collection processes Update and consolidate the STCF Weekly Cash forecast from subsidiaries Identify and solve cash and currency shortfalls
Summarise the STCF forecast in a simple short report for the group directors on a weekly basis

Treasury Policy
Contribute to integration and development of the current group treasury policy with the group’s strategic requirements and direction based on knowledge and experience. Develop and execute a strategy to manage surplus cash resources (e.g. money market deposits, forward swaps) Management, development and adaptation of the treasury functions and processes to take account of both the size and resources of the group Implementation of robust controls related to treasury matters relating to all parts of the group that are actively managed by the group

Financing
Monitoring Group Financing Leasing
Management of interest, fees and capital repayments in relation to debt forecasting covenant compliance
Overseeing Grant Financing and Tax Credit Financing as required


What you'll need to succeed

Previous experience in a treasury or risk management function preferred
Fully qualified accountant (ACA, ACCA or CIMA) with ACT or equivalent treasury qualification with at least 3 years PQE
Knowledge of Excel based treasury modelling
Experience of international cash and FX exposure management

If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.

If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career.

Apply for this job

Talk to Marios Georgiou, the specialist consultant managing this position

Located in London-City, 5th Floor, 107 Cheapside, Telephone 02034650138
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