Job Descrption
Location: North London, hybrid workingSalary: £75,000 - £85,000
We are seeking a talented Treasury Finance Manager to join our Treasury function within Finance. You will be pivotal in evolving our cash process and cash flow forecasting to achieve best-in-class standards. As we undergo a significant transformation program, you will support efforts to systematise cash flow forecasting and ensure robust, effective financial management.
Key Responsibilities
• Develop and maintain a best-in-class cash flow model
• Collaborate with internal stakeholders to enhance cash inflow and outflow processes.
• Ensure timely and accurate application of customer payments
• Establish metrics to monitor the performance and productivity of the team
• Create detailed cash flow presentations, highlighting key trends, risks, and opportunities.
• Ensure consistent, detailed reporting to senior leaders and foster a robust control environment.
• Support the transformation team in systematising cash flow... processes and delivering continuous improvements.
• Safeguard the company's cash and manage financial risks effectively.
• Stakeholder buy-in and effective cash-flow processes.
• High-quality reporting and risk identification.
• Strong relationships and clear communication of cash risks and plans.
• Embedding cash management principles across the finance team.
Key Skills And Experience
• ACA, ACCA, CIMA, or ACT qualified.
• Strong academic background with university and A-level qualifications.
• Proven experience in financial and treasury operations with strong cash-flow management.
• Demonstrated ability to lead and develop teams.
• Excellent communication skills and the ability to build strong relationships.
• Advanced Excel skills and high level of integrity and independence
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