Head of International Treasury
An opportunity has arisen at the London operation of this global insurance group. As they develop their UK and European Treasury function they are looking for an experienced Treasury Accountant/Manager to help set up, develop and grow the Treasury function.
As well as the set up of the UK function, day to day responsibilities will include:
- International cash management operations
- Day to day funding and forecasting.
- Short term investment
- Bank account administration including fee analysis.
- Development of a Treasury Management System
- Develop reporting capabilities for senior management/ exec
- Team management
You will have experience in corporate treasury including knowledge of understanding cash management techniques, foreign exchange hedging strategies, international banking, risk management and finance. Strong relationship management experience with both internal stakeholders and with third parties / banks is key. The successful candidate should have demonstrable experience of developing processes, systems and team.
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