Senior Treasury Operations Manager

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Senior Treasury Operations Manager

Manchester

Post Date, 03/12/2024

Salary: 65000-80000 per annum

Permanent

We are looking for an experienced and proactive candidate in the Treasury Operations space to join the the team of a large business based in the North-West of England. The role is a Senior Treasury Operations Manager and will be pivotal in ensuring the effective management of the organisation's treasury operations, optimising cash flow, managing financial risks, and maintaining robust back-office processes.

The ideal candidate will have a strong understanding of cash positioning, hedging, and treasury policies, with the ability to drive continuous improvement in processes and systems.

Key Responsibilities:

  • Monitor and optimise daily cash positions to ensure sufficient liquidity for operational needs
  • Manage cash forecasting and reporting processes to enhance financial visibility
  • Develop and implement hedging strategies for FX and interest rate (IR) risk
  • Monitor and report on the effectiveness of risk mitigation measures
  • Manage exposure to currency and interest rate fluctuations, ensuring compliance with treasury policies
  • Ensure efficient use of idle cash across the organisation
  • Liaise with banking partners to manage cash flow and improve return on surplus funds
  • Oversee regular bank account reconciliations to ensure accurate and timely financial reporting
  • Ensure all treasury transactions are accurately recorded in compliance with accounting standards
  • Manage loan agreements, including reviewing terms and ensuring compliance with covenants
  • Evaluate and update treasury policies to reflect best practices and regulatory requirements
  • Oversee the functionality and integrity of the Treasury Management System (TMS)
  • Ensure the system supports operational efficiency and financial accuracy.

Qualifications & Skills:

  • Proven experience in a treasury operations or similar role.
  • Strong understanding of cash management, FX, and IR risk management principles.
  • Experience in hedging strategies and treasury policy development.
  • Proficiency in Treasury Management Systems (TMS) and financial software.
  • Excellent analytical, organisational, and problem-solving skills.
  • Strong attention to detail and ability to work under pressure.
  • Degree in finance, accounting, or a related field (professional certifications such as ACT or CFA are a plus).

Please apply with a CV for more information.

Job Responsibility
Contract Details
  • Contract Type: Permanent
  • Salary Type: per annum
  • Total Applications: 9
  • Last Date: 14/01/2025
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