Treasury Manager
Posted 10 days 10 hours ago by Michael Page (UK)
Permanent
Not Specified
Banking & Financial Services Jobs
London, United Kingdom
Job Description
- Work for an industry leader in the clean energy sector
- Career growth opportunity within Treasury
About Our Client
Our client is a reputable firm in the energy and natural resources sector, with a workforce of over 1000 spread across 30 countries. This company has a substantial presence across several continents and is recognised for its commitment to sustainability and ethical practices.
Job Description
- Delivering centralised treasury services for the parent company and offering tailored support to subsidiary entities
- Leading and coordinating short-term cash flow forecasting across the organisation, incorporating input from all business units
- Ensuring treasury procedures and processes are aligned with internal financial policies across the group
- Analysing and managing exposure to key financial risks, including interest rate, currency, inflation, and liquidity risks, and developing risk mitigation strategies as needed
- Overseeing the migration of subsidiary banking operations to the group's preferred banking partner, ensuring a smooth transition while maintaining operational cash management
- Coordinating the winding down of subsidiary-level banking facilities and ensuring the release of any charges over company assets
- Establishing and managing group-wide facilities for foreign exchange, investments, credit card programs, and other financial instruments
- Managing the opening and closing of corporate bank accounts as necessary
- Optimising liquidity management and ensuring efficient cash utilisation across both the parent organisation and subsidiaries
- Administering and managing draw-downs, repayments, and maintenance of undrawn credit facilities
- Handling the administration of group-wide facilities for bank-backed trade guarantees and ensuring compliance with lending requirements
- Exploring alternative liquidity strategies, including the use of specialised credit facilities and export credit agency products
- Supporting the finance leadership team with a variety of ad-hoc projects as required by the CFO and senior management
The Successful Applicant
A successful Treasury Manager should have:
- 4+ years of experience in a Treasury role, relevant to the responsibilities listed above
- Good communication skills, both verbal and written
- Ability to prioritise tasks efficiently
- Keen attention to detail
- Positive attitude, reliable and dependable
- Show initiative, willing to take on new tasks and get ahead of potential issues
- Ability to work independently when required
- Proficiency in Excel, Word and PowerPoint
What's on Offer
- An estimated salary range between £70,000 and £80,000 per year
- Hybrid working 3 days in office
- A comprehensive benefits package and bonus incentive
- A supportive and inclusive company culture
- Opportunities for professional growth and development
We encourage all experienced candidates who are excited about making a tangible impact in the energy and natural resources industry to apply for this rewarding Treasury Manager role.