£40000 - £45000 per annum + DOE plus benefits
12 months ago
Our client, an established and dynamic organisation based in Liverpool, are recruiting for a Group Treasury Manager on a permanent basis.
This position is a key part of the finance team and will see you managing treasury operations including cash management, treasury related risk management and treasury systems.
Reporting to the Head of Finance, the Group Treasury Manager will take responsibility for the following duties:
* Cash management and banking - Group cash balances, cash flow activities
* Liaising with the wider finance team to ensure the Group's expenditure forecasts is correctly forecast and monitored
* Management and oversight of the Group's debt portfolio, monitoring funding covenants
* Managing completion of stock valuations
* Preparing and monitoring budgets
* Monitoring and interpreting Treasury updates and trends
* Producing and analysing reports
* Ensuring all treasury policies and strategies are kept updated
* Implementing and maintaining Treasury software
Essential experience for the Group Treasury Manager:
* Professional Accounting or Treasury qualification
* Experience working within a Group function
* Detailed working knowledge and experience of Treasury services
* Experience of managing loan portfolios
* Strong IT skills
* Effective communicator and ability to liaise at all levels
This is an exciting and varied opportunity for an experienced Group Treasury Manager to add value within an award winning organisation that offers excellent benefits.
Please apply now should you have the relevant experience.
Candidates without the essential criteria will not be reviewed for this position.
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