£400/day to £600/day
London, England
Temporary, Variable

Group Treasury Accountant/Manager

Posted by Absolute Recruit.

Job Title: Interim Group Treasury Manager/Accountant (3-Month Minimum Contract)

Location

: West London (Hybrid – 3 Days in Office)

An exciting opportunity has arisen for an experienced Group Treasury Manager/Accountant to join a fast-paced, dynamic financial services organization based in West London. This interim role is for a minimum of 3 months, with the strong potential to become permanent.

Role:

This role will be instrumental in driving the treasury function's revenue generation through hedging, FX movements, and risk assessment strategies. Additionally, you will contribute to improving processes and controls in line with ongoing business transformation efforts. You will play a pivotal role in managing the cash flow, liquidity, and financial risk management, ensuring alignment with business goals.

Key Responsibilities:

  • Lead the treasury function with a focus on revenue generation via hedging and foreign exchange (FX) movements.
  • Identify risk assessment opportunities, driving strategic decisions that impact the bottom line.
  • Enhance existing processes and controls, supporting the ongoing transformation projects.
  • Manage cash flow, liquidity, and ensure financial risk management is effectively handled.
  • Provide key financial insights and strategies to support business decision-making.

Key Requirements:

  • Ideally AMCT or ACT qualified, or hold a professional qualification such as ACA, ACCA, or CIMA.
  • Experience within a trading brokerage environment is highly desirable. Alternatively, experience in a fintech start-up or financial services sector is also relevant.
  • Strong working knowledge of Sun Systems is advantageous.
  • Demonstrated experience in a hands-on treasury role, with exposure to revenue-generating activities through FX and risk management.
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