Treasury Manager
- Recruiter
- Robert Walters
- Location
- Hemel Hempstead, Hertfordshire, United Kingdom, United Kingdom
- Salary
- £60,000 - £80,000 per annum + 15%-30% bonus
- Posted
- 20 May 2023
- Closes
- 19 Jun 2023
- Ref
- 50911343/001
- Job role
- Treasury
- Sector
- Accounting - Public practice
- Experience level
- Manager
Treasury Manager - FTSE Listed Business - Hemel Hempstead (hybrid role) - Circa £60k-£80k plus bonus up to 30%
Robert Walters are hiring for a Treasury Manager for a instantly-recognizable FTSE-listed business based in Hemel Hempstead (but supporting hybrid working).
This is a permanent role paying circa £60k-£80k plus 15%-30% bonus and a fantastic benefits package.
The Treasury Manager will focus on front office and treasury risk management (with a focus on business partnering) as well as working with the wider team on treasury project work.
Responsibilities include:
The company are looking for someone with strong corporate treasury experience, including in Foreign exchange and interest rate risk management, ideally gained working within a listed / large / complex organisation.
The key attribute the business is looking for is someone who is a strong and capable business partner; Someone with commercial ability and who is able to use their relationship-building skills to use this ability to add value across the company.
Apply now to view the full job description and to find out more.
Robert Walters Operations Limited is an employment business and employment agency and welcomes applications from all candidates
Robert Walters are hiring for a Treasury Manager for a instantly-recognizable FTSE-listed business based in Hemel Hempstead (but supporting hybrid working).
This is a permanent role paying circa £60k-£80k plus 15%-30% bonus and a fantastic benefits package.
The Treasury Manager will focus on front office and treasury risk management (with a focus on business partnering) as well as working with the wider team on treasury project work.
Responsibilities include:
- Manage and report the Group's exposures to FX, interest rates and share scheme purchases providing timely and insightful reporting to key stakeholders.
- Working with the Group's Commodity Risk Manager to support the Group's commodity risk management activities across multiple Business Units
- Business partnering to drive currency forecasting understanding and improvements
- Supporting BU identification of currency risks
- Appropriate governance over currency decisions in Business Units
- Establish and maintain processes to monitor compliance with the Group's policies on foreign exchange, interest rates, shares and counterparty exposures.
- Forecast and manage the delivery of the Group's external interest charge providing timely updates to the business.
- Evaluate, report and execute hedging requirements under the Group's share incentive schemes
- Support on Treasury project work
The company are looking for someone with strong corporate treasury experience, including in Foreign exchange and interest rate risk management, ideally gained working within a listed / large / complex organisation.
The key attribute the business is looking for is someone who is a strong and capable business partner; Someone with commercial ability and who is able to use their relationship-building skills to use this ability to add value across the company.
Apply now to view the full job description and to find out more.
Robert Walters Operations Limited is an employment business and employment agency and welcomes applications from all candidates
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