Group Treasury Manager

MERJE

York and North Yorkshire

Hybrid

GBP 70,000 - 90,000

Full time

14 days+
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Job summary

A leading Building Society is seeking a Group Treasury Accounting Senior Manager to lead a high-performing team overseeing financial reporting and managing key treasury accounting processes. The ideal candidate will have advanced knowledge in derivatives accounting and strong leadership skills. This role offers the chance to work with complex financial products, ensure compliance with accounting standards, and contribute to strategic goals. Hybrid working is available, providing a great work-life balance.

Qualifications

  • Advanced knowledge of derivatives accounting and treasury activities.
  • Experience in financial services accounting and regulatory reporting.
  • Strong leadership and team management skills.

Responsibilities

  • Lead and develop the Group Treasury Accounting team.
  • Oversee monthly hedge accounting processes and ensure compliance.
  • Manage regulatory reporting and stay abreast of regulatory developments.
  • Oversee the Equity Release portfolio, including fair value assessments.

Skills

Advanced knowledge of derivatives accounting
Treasury activities
Leadership skills
Communication abilities
Problem-solving abilities

Job description

Overview

MERJE is seeking a highly skilled Group Treasury Accounting Senior Manager for a leading Building Society. This role offers an exciting opportunity to lead a team of professionals, oversee financial reporting, and manage key treasury accounting processes. The ideal candidate will possess advanced accounting knowledge and experience in financial services.

Location

Head Office, North Yorkshire - Hybrid working available

The Company

This well-established Building Society is committed to providing excellent financial services to its customers. With a strong focus on compliance and risk management, the company offers a dynamic work environment and opportunities for professional growth.

The Role

The Group Treasury Accounting Senior Manager will lead a high-performing team, ensuring accurate financial and regulatory reporting for treasury instruments. This role offers the chance to work with complex financial products and contribute to the company\'s strategic goals.

Key Responsibilities of the Group Treasury Accounting Senior Manager
  • Lead and develop the Group Treasury Accounting team
  • Oversee monthly hedge accounting processes and ensure compliance with accounting standards
  • Manage regulatory reporting and stay abreast of regulatory developments
  • Oversee the Equity Release portfolio, including fair value assessments and risk management
  • Maintain a strong control environment within team processes
Required knowledge and experience for the Group Treasury Accounting Senior Manager role
  • Advanced knowledge of derivatives accounting and treasury activities
  • Experience in financial services accounting and regulatory reporting
  • Strong leadership and team management skills
  • Excellent communication and problem-solving abilities

If you\'re ready to take on this challenging Group Treasury Accounting Senior Manager position and contribute to a leading Building Society, apply now!

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