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Treasury Manager - Qualified Accountant, Cambridgeshire

Empirical Search

London

On-site

GBP 50,000 - 80,000

Full time

2 days ago
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Job summary

A leading company is seeking a Treasury Manager who is a qualified accountant to oversee financial forecasts and manage the treasury operations. The candidate will ensure compliance with financial regulations while driving strategic financial planning. This role demands strong analytical skills and proven experience in treasury functions.

Qualifications

  • Qualified financial accountant with advanced technical skills.
  • Post qualification experience in finance/treasury.
  • Knowledge of corporate treasury and financial instruments advantageous.

Responsibilities

  • Manage financial forecasts for debt and cash management.
  • Coordinate semi-annual reporting and compliance certificates.
  • Enhance treasury strategic model for accurate budgeting.

Skills

Financial accounting
Financial modelling
Analytical skills
Communication skills
Attention to detail

Education

ACCA/CIMA/ACA qualification
Associate member of the Association of Corporate Treasurers

Job description

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Treasury Manager - Qualified Accountant, Cambridgeshire, south east, uk

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Client:

Empirical Search

Location:

south east, uk, United Kingdom

Job Category:

Other

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EU work permit required:

Yes

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Job Reference:

975ae55aabde

Job Views:

5

Posted:

02.06.2025

Expiry Date:

17.07.2025

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Job Description:

Role Description

  • Line management responsibility, including coaching of the Modelling Assistant Manager.
  • Management for the delivery of accurate financial forecasts to enable the development of the strategy for debt, interest rate and liquidity management, financial covenant and rating agency reporting including regulatory price reviews as required in the 5 year cycle.
  • Ownership for maintaining and enhancing the treasury strategic model to generate annual budgets and subsequent formal reforecasts for debt, cash and interest across the Group.
  • Responsibility for running, reviewing and communicating scenarios as part of business planning processes, queries from debt investors or strategic advisors.
  • Key contributor to the semi-annual going concern and viability statement board papers to be approved by audit committee.
  • Accountability and challenge to ensure that business financial forecasts will maintain target covenants and credit ratings.
  • Coordinate the completion of the semi-annual covenant compliance certificates, dealing with any debt investor queries that arise.
  • Analyse relevant exposures from a financing and regulatory perspective including, but not limited to, inflation and cost of debt.
  • Manage the annual model audit process and ensure all findings are reviewed and actioned.
  • Coordinate the monthly preparation of the Treasury committee report.
  • Preparation of annual regulatory reporting as required.

Role Requirements

  • Qualified financial accountant (ACCA/CIMA/ACA) with advanced technical skills in financial accounting and financial modelling
  • Post qualification experience within a finance/treasury function
  • Demonstrable knowledge and understanding of corporate treasury, financial markets and financial instruments highly advantageous
  • Associate member of the Association of Corporate Treasurers (AMCT) would be an advantage
  • Accuracy and attention to detail are paramount
  • Excellent analytical and data interpretation abilities
  • Excellent communication skills and interpersonal skills
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