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The Treasury Manager will provide leadership and hands on management of the Group's Treasury function. The position is responsible for the management and oversight of budgeting, cash-flows and all other treasury related activities for the combined business including forex, reporting, forecasting and managing ongoing banking relationships. In addition the Treasury Manager will:
- Ensure that the organisation meets all regulatory, compliance and audit responsibilities in this area.
- Collaborate closely with colleagues across the business to understand business needs and deliver commercially focused support and solutions as required.
- Support the delivery of the overall Group Strategy and goals through the delivery of timely and accurate financial and management information.
Key responsibilities:
- Plan and execute financing transactions, manage cash position to ensure long-term liquidity requirements are met. Optimise investment of restricted cash in line with policy.
- Working capital forecasting and reporting and treasury management reporting for key stakeholders. Provide ad-hoc management reports as required.
- Cash flow forecasting and liquidity management, develop and maintain reliable internal forecasting and reporting tools. Manage all corporate debt facilities in terms of compliance and convenant reporting . Develop and implement cash management operational strategies. Manage and monitor counterparty risk and bank exposures.
- Manage foreign exchange risk.
- Ownership of Treasury procedures, implement a strong process and controls culture and identify opportunities for treasury enhancement projects.
- Manage banking relationships; negotiate credit lines and other facilities to improve operational efficiency. Negotiate competitive fees and charges.
- Work closely with the Finances team with respect to treasury accounting and reconciliations as it relates to FP&A and management reporting.
- Balance sheet reconciliation review and sign off on all cash related accounts.
- Responsible for producing the annual statutory Financial Statements for all companies within the group and assist in managing the year end consolidation process.
- Work with legal team and external advisors to ensure all CRO filing requirements are met.
- Helping manage year end processes including preparation for Audit and acting as a key contact for the External Audit team.
- Manage relationships with AP/AR team in Leicester with responsibility for allocated balance sheet reconciliation review.
- Liasion/ work closely with business controls & cash office
- Liasion with external parties/advisors including internal & external Auditors, banks.
- Coaching, developing and motivating direct reports and ensuring that the Finance team is cross trained and can cover absences. Monitoring and improving operational standards within the team.
Person specification:
- Qualified ( ACA/ACCA/CIMA) with 3-5 years' experience of working in a treasury/ finance position with a similar role.
- Commercial acumen and a good eye for detail coupled with a questioning, open incisive intellect.
- Good communication and networking skills across all levels in a matrix environment
- Stakeholder management and engagement skills with good interpersonal impact and personal credibility.
- Confident, a self-starter, with the ability to operate in dynamic environment.
- Proven history of leading a function and managing teams
- Must be able to demonstrate good attention to detail, good judgement showing logical decision making and a hands on approach
- Proven ability to develop and improve working procedures and processes
- List highly organised and efficient with ability to work under pressure, manage a diverse and competing workload ensuring deadlines are met.
- Flexible, open to change, comfortable managing a constantly changing environment
- Pro-active and anticipates issues
- Experience within retail environment
- Good excel skills and solid understanding of accounting software principles
- Knowledge of Coda, Cognos and/or Hyperion / Essbase packages and Oracle accounting packages
- Working knowledge of Accounts payable and treasury processes.
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