Are you looking for an opportunity to form an integral part of our UK Finance function?
As Head of Treasury and Account Receivable, you will be responsible for managing an onshore and offshore team tasked with the day-to-day operations of the Treasury department across the UK.
This will include oversight of all cash, debt, capex (working capital), forex risk management, administration, control and governance over the UK group treasury function.
Opportunity to join a very well-known Retail & Commercial Bank in a vital role driving a culture of risk awareness and recommending solutions to digital and technology operational risk issues.
The business operates a hybrid working week, the expectation would be 1 day per week in the offices located in Manchester, Edinburgh or London.
You will partner with the business to manage risk and controls within the agreed risk appetite, ensure mechanisms are in place to identify and mitigate risk, and deliver relevant risk activity to sustain a control environment within risk appetite.