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Senior Treasury Manager

Hays PLC

London

On-site

GBP 70,000 - 100,000

Full time

4 days ago
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Job summary

A leading player in the media industry is seeking a Senior Treasury Manager to head up the Treasury department. This role involves cash management, implementing Treasury systems, and risk mitigation while overseeing all banking relationships. The ideal candidate will be a qualified accountant with significant experience in a multi-national environment, strong analytical abilities, and excellent communication skills.

Benefits

A competitive salary
Benefits to support wellbeing

Qualifications

  • Experience in implementing Group wide Treasury Management System.
  • Demonstrated experience in a multi-national business.
  • Strong knowledge of FX accounting practices.

Responsibilities

  • Manage and forecast the Group's cash requirements.
  • Implement and optimise the use of the Treasury Management System.
  • Establish and maintain relationships with banks.

Skills

Analytical skills
Communication
Numerical skills
Staff management

Education

Qualified Accountant
AMCT qualifications

Tools

MS Excel
Power BI

Job description

Senior Treasury Manager - Media

Your new company

A leading player in the media industry is seeking a Senior Treasury Manager to head up the Treasury department. You will be managing and forecasting the Group's cash requirements, evaluating and proposing dividends to the Group's JV owners, foreign exchange dealing and loss management, managing banking relationships and optimising processes and systems surrounding the Group's payment and cash management cycles.

Your new role

Systems & Process Improvement - Implement and optimise the use of the Group's Treasury Management System (Kyriba) and use it to facilitate process automation and improvement while maintaining strict controls.

Liquidity & Cash Management - Ensure the Group can meet its liabilities as they fall due. Optimise cash usage and oversee the Groups investments policy. Oversee, review and propose short, medium, and long-term cash forecasting processes and ensure timely remittance of funds to the JV Partners.

Trapped Cash Strategies - Create cost-efficient and compliant strategies to extract trapped cash from international territories.

Foreign Exchange Risk Dealing - Monitor Group currency positions and manage foreign exchange dealing activities. Collaborate with commercial teams to effectively manage FX risk for new contracts.

Banking Relationships & Funding Management - Establish and maintain relationships with approved banks for cost-effective services. Manage revolving credit facilities (RCF) and credit facilities, ensuring covenant compliance.

Risk Management - Mitigate risks related to credit, market, and foreign exchange exposures.

Reporting & Analysis - Provide ad hoc reporting to senior stakeholders, including the Board and Studios' Treasury Departments.
Controls & Compliance - Own Treasury Policies, ensuring compliance with strict controls and procedures. Manage bank account operations, including the
authorisation of payments and control over signatories.

What you'll need to succeed

Qualified Accountant, AMCT qualifications are desirable.

Experience in (or being part of a team) implementing a Group wide Treasury Management System.

Demonstrated experience in a multi-national business with oversight of consolidation processes and multi-currency, cross-border inter-company transactions.

Proficient in MS Excel and other analytical tools such as Power BI is advantageous

A strong knowledge of FX accounting practices is essential.

Ability to work under pressure and meet strict reporting deadlines with high accuracy and attention to detail.

Strong numerical and communication skills, able to liaise with senior management and studio stakeholders.

Effective prioritisation of workload.

Staff management experience, in a small Head Office Treasury team.

What you need to do now

If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.

If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career.

  • Accounting for International Development
  • A competitive salary, and benefits to support your mental, physical, financial, and social wellbeing
  • Accounting for International Development
  • A competitive salary, and benefits to support your mental, physical, financial, and social wellbeing
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