I am currently working with an SME property firm who are seeking a Treasury Manager with demonstrable experience across banking, cash and debt management, financing to join their small centralised treasury function.
Reporting into the Head of Treasury, the hire will assume a number two role in the treasury function, with responsibility for one report who is at Assistant level.
Due to the nature of the business, the role is predominantly operationally focused and doesn't involve hedging or dealing, however due to the growth and dynamism of the business it will involve some exciting work on the financing and debt management side of things.
We are recruiting for a Treasury Finance Manager, that will work as part of a dynamic team in delivering an effective service supporting managers and staff to deliver high quality financial processes and support across the UK operatuins
This in an interim role for 3 months, but may extend up to 12 months.
The role will invole defining current processes, facilitate discussions and advise colleagues as to how best practice might be adopted in the definition of future processes, document those processes as they are agreed and oversee their delivery.
As a Treasury Manager you will be responsible for overseeing a treasury team of two staff and ensuring the function runs as effectively and efficiently as possible.
Due to the current incumbent leaving the business they are recruiting this role on a permanent basis into their vibrant and expanding finance team, this is an excellent opportunity for someone with a string treasury background who is looking for a progressive role with a rapidly expanding business.
My client is a large FMCG company based in Manchester.
A market leading FTSE250 business are looking to recruit a Treasury Manager to create a standalone function and take the management of treasury to the next level.
The business is seeking a hands-on treasury professional with a good understanding of the core requirements of treasury, including but not limited to cash management, foreign exchange hedging, reporting, controls and forecasting.
The role will directly manage one individual and will need to work closely with the other business operations finance teams.
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.
Are you looking for an opportunity to form an integral part of our UK Finance function?
We have an exciting opportunity for a Treasury Management Officer based within a great team.
As a Treasury Management Officer you will be support to the treasury management and non-treasury investment services in all aspects of financial administration.