Senior Treasury Manager

  • Home
  • Senior Treasury Manager
a
Senior Treasury Manager

Manchester

Post Date, 10/01/2025

Salary: 75000-80000 per annum

Permanent

Senior Treasury Manager

Manchester/Hybrid

£75,000 - £80,000

This is a great opportunity to join a leading brand that will offer you challenges and opportunities to really delve into the future of how this division operates. As No 2 to the Head of FP&A you will act as a point of contact for the treasury team and senior leaders within the business. As Senior Treasury Manager you will play a pivotal role in managing the cash, debt, and liquidity of the Group. This includes ensuring compliance with financing arrangements and overseeing the efficient processing of financial transactions across the Group.

Key Responsibilities:

Liquidity & Debt Management:

    • Oversee business liquidity within bank/group thresholds.
    • Develop and manage debt reporting for banking purposes.
    • Maintain strong relationships with banks, ensuring favorable ratings.

Financial Planning:

    • Create a 3-year integrated financial profile for banks, updated quarterly.
    • Develop the annual cash flow budget and ensure adherence, collaborating with Group and finance teams.

Cash Flow Management:

    • Own the annual cash flow budget and weekly/monthly forecasts.
    • Ensure cash balances are posted, reconciled, and free of discrepancies, working with Internal Audit and Shared Services.

Payment Systems & Accuracy:

    • Ensure timely, accurate, and secure processing of payments.
    • Assess and improve payment mechanisms and data protection measures.

Debt Reporting:

    • Produce and manage debt reports for retail and wholesale businesses.

Financial Operations:

    • Oversee cash and bank financial processing activities, ensuring their efficiency and alignment with business needs.
    • Collaborate with the Financial Control team to migrate acquired businesses/branches to company systems.

Balance Sheet Oversight:

    • Prepare, review, and resolve issues in monthly balance sheet reconciliations.
    • Monitor and improve monthly processing KPIs, aligning reporting to business needs.

Financial Controls:

    • Maintain a comprehensive map of financial controls for payments and cash, ensuring compliance.
    • Set policies for payment terms, mechanisms, and customer setups within the regulatory framework.

Problem Solving & Change Management:

  • Design and implement new processes and controls.
  • Adapt to tight deadlines and evolving business needs.
  • Stay updated with advancements in banking systems and technologies.
  • Manage and coordinate with the shared service.

Skills & Experience:

  • Preferred qualifications in Finance, Accounting, or Treasury.
  • Knowledge of transaction processing developments.
  • Proven leadership in managing large transactional processing teams.
  • Strong experience in cash forecasting, balance sheet, and financial controls.
  • Advanced proficiency in Excel and finance systems.
  • A track record of mentoring and engaging teams effectively.

If this is an opportunity you would like to explore further, please click to 'apply' or contact Gemma for further details.

Job Responsibility
Contract Details
  • Contract Type: Permanent
  • Salary Type: per annum
  • Total Applications: 2
  • Last Date: 21/02/2025
Contact us or Apply now

Upload CV (pdf,docx,txt) *

You will be contacted on your provided email address.

Copyright © 2022 Auto Managing Privacy Policy.