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Cash Management Accountant

2 months ago


Stockport, United Kingdom Sewell Wallis Ltd Full time
Sewell Wallis are partnering with a PE-backed business in Manchester who are recruiting for a Cash Management Accountant to join their Finance team. This is a great opportunity to join a rapidly expanding business, the largest of their kind in the UK with state of the art technology. You'll join a high performing team, in exceptional offices and will receive excellent benefits including hybrid working at 20% bonus.
Reporting to the Financial Controller you will be overseeing and managing the treasury functions ensuring the correct processes, monitoring and reporting systems are in place to manage the cash and the 500-plus bank accounts across the Group
What will you be doing?
Ensuring efficient cash movement whilst maximising returns on surplus cash.
Developing and maintaining AMC / F&O cash actuals report and cash PowerBI dashboard.
External and quarterly cash reporting.
Adding/removing new users, monitoring access for banks.
Liaising with the banks on a day-to-day basis and refinancing initiatives, including the negotiation of bank fees and deposit account rates.
Developing and implementing Treasury risk management process and reporting.
Utilising money markets and maximising surplus cash including implementation of cash pooling at the Group level.
Managing a Senior Treasury Clerk.
Developing and implementing treasury risk management process and reporting.
Supporting the FP&A Liquidity & Funding Manager on cash forecasting and BX cash draws.
Restricted cash monitoring.
Weekly/monthly cash sweeps.
Bank account management for debt compliance (pledged, blocked, floating, etc.
Unallocated cash analysis.
Dealing with treasury-related queries.What skills are we looking for?
Solid experience working in a treasury function.
Experience with treasury management systems, in-house banking, payment factories and bank connectivity.
Deep understanding of corporate treasury management, including the ability to comprehend complex legal entity and bank account structures, cash pooling concepts, cash flow projections and associated risk management and instruments.
Excellent knowledge of Microsoft Office and ideally experience in using Power BI.
Good team player with strong interpersonal and communication skills.
Strong analytical and technical skills.What's on offer?
Hybrid working (3 days in the office).
Fantastic new offices with an onsite gym.
Competitive benefits package.
Competitive salary with discretionary performance-linked bonus. Additional benefits include pension, health, and life insurance. Send us your CV below, or contact Kayley Haythornthwaite for more information.
To apply please send your CV, quoting our reference and specifying which website you saw this position advertised on. Due to the high volume of applications please accept that if we have not responded to your application within seven days, your application has not been successful. Sewell Wallis is a specialist recruitment company with a vast amount of experience in our industry we offer permanent, temporary and interim recruitment support for accounting and finance, human resources and business support positions. We recruit at all levels within finance from Purchase Ledger Administrator and Credit Controller level through to Financial Controller and Director positions. With offices in Sheffield and Leeds, we are well situated to cover all of South Yorkshire, West Yorkshire and Manchester. Please visit our website for more information on accountancy and finance jobs and human resources or business support positions