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Treasury Accountant

Michael Page (UK)

England

Hybrid

GBP 60,000 - 65,000

Full time

30+ days ago

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Job summary

An innovative firm is seeking a dynamic individual to join their Treasury & Corporate Reporting team. This role is pivotal in maintaining financial health through effective cash management and insightful analysis. You will engage with stakeholders, ensuring compliance and driving continuous improvement in processes. With a focus on agility and innovation, you will contribute to a collaborative culture that values diversity and individual contributions. This is an exciting opportunity to make a meaningful impact in a forward-thinking organization that prioritizes employee well-being and professional growth.

Benefits

Competitive Compensation
Performance Incentives
Strong Benefits Package
Flexible Working Arrangement
Opportunities for Impact
Support and Resources
Inclusive Culture

Qualifications

  • Certified accountant with experience in financial control and cash management.
  • Strong knowledge of working capital liquidity arrangements.

Responsibilities

  • Manage liquidity through effective cash management and forecasting.
  • Analyse financial data to deliver actionable insights for decision-making.

Skills

Financial Analysis
Cash Management
Stakeholder Relationship Management
Process Improvement
Financial Modelling
Agile Mindset
Excel Proficiency

Education

Certified Accountant Qualification

Tools

Automation Tools

Job description

  • Manage liquidity, analyse performance, and drive improvements
  • Hybrid Working: Balance work and life with a 2/3 day hybrid model

About Our Client

My client is a unique business, operating as a joint venture between two industry-leading organisations. With millions of customers and a reputation for award-winning services, they have built a dynamic and innovative brand.

The company fosters a close-knit, inclusive culture while offering the benefits of being connected to two major parent organisations. It is proud to champion diversity and ensure everyone feels welcome and empowered to bring their authentic selves to work. With a focus on caring for human connection, my client has established itself as a leader in its field.

Job Description

The Treasury & Corporate Reporting team plays a critical role in supporting the financial health and operational success of the business. This role involves maintaining liquidity through effective cash management, forecasting, and reporting, while managing relationships with shareholders and stakeholders.

You will also analyse financial performance, provide impactful insights, and ensure compliance with robust processes and controls, all within a fast-paced, agile environment.

  • Maintain liquidity through effective cash management, forecasting, and reporting.
  • Manage shareholder and stakeholder relationships, ensuring clear communication of business performance.
  • Analyse financial data to deliver actionable insights and support strategic decision-making.
  • Ensure processes and controls are rigorously followed while identifying opportunities for improvement.
  • Lead continuous improvement initiatives, leveraging automation and innovation.
  • Build and maintain strong relationships across the Finance team and with external stakeholders.
  • Provide both detailed accuracy and high-level strategic overviews as required.
  • Ensure compliance with accounting treatments and processes, contributing to accurate financial reporting.
  • Champion an agile mindset to drive adaptability and growth within the business.

The Successful Applicant

The ideal candidate will have:

  • A qualification as a certified accountant with post-qualification experience in financial control.
  • Strong knowledge of working capital liquidity arrangements and their drivers.
  • A solid understanding of the industry and its unique challenges.
  • A proven ability to maintain and improve processes and controls.
  • Experience with automation tools and a focus on continuous improvement.
  • Exceptional relationship-building skills with internal and external stakeholders.
  • Proficiency in Excel and financial modelling systems.
  • Strong knowledge of accounting treatments and processes.
  • The ability to balance detailed accuracy with impactful high-level summaries.
  • An agile mindset to adapt and grow within a fast-paced business environment.

What's on Offer

My client provides a collaborative and inclusive working environment where innovation, agility, and employee well-being are prioritised. You will benefit from:

  • Competitive Compensation: A salary range of £60,000 to £65,000, plus a £5,000 car allowance.
  • Performance Incentives: A 10% performance-based bonus with a consistent payout rate of approximately 95%.
  • Strong Benefits Package: Including a robust pension scheme to secure your financial future.
  • Flexible Working Arrangement: Enjoy a hybrid model with two mandated office days, balancing professional growth and personal priorities.
  • Opportunities for Impact: Contribute to meaningful change and play a pivotal role in the growth of a forward-thinking, dynamic organisation.
  • Support and Resources: Access the extensive resources and expertise of two leading parent organisations.
  • Inclusive Culture: Thrive in a workplace that celebrates diversity and values individuality, ensuring you feel welcome and empowered.
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