Senior Specialist, Treasury and Alm

3 days ago


Manchester, United Kingdom eFinancialCareers Full time

**Overview**
**The role reports into the Treasurer with responsibility for**:

- Assist in placing client cash/ Firm cash at banks and ensure revenue optimisation from Client cash balances (CFM) and Firms cash (NII).
- Assist in the management of liquidity risk and maintenance, monitoring and reporting of liquidity stress tests
- Oversee the production of the daily Liquidity and Cash reports (predominantly produced by the off-shore team)
- Assist in the preparation of the monthly ALCO pack and attending the meetings as required;
- Assist in the management of debit/credit Interest Management, in particular working with the Interest Manager on agreeing the accruals and client charges
- Assist in the preparation and maintenance of governance documents, including the Individual Liquidity Adequacy Assessment ("ILAA"), policies, wind down plan and recovery plan
- Assist in all other balance sheet related activities, including the monitoring of fails, overdrafts, funding facilities, margin calls/TT/stock loan/borrow positions/warehousing positions, as required.
- Assist in the management of other Treasury risks, including interest rate and FX
- Assist in the preparation of ad-hoc regulatory surveys, as required.
- Ongoing development and automation/streamlining of Treasury processes and management information

**Key Responsibilities
Daily-to-day responsibilities**:

- Review and circulate the daily liquidity reports
- Support the Treasurer in monitoring funding facility/overdraft utilisation, working with cash management to ensure usage is optimised
- Working with Interest Management, Cash Management and Settlements to ensure clients are appropriately charged.
- Monitor stock loan/borrow, warehousing, margin, TT positions to ensure they are maintained within our risk appetite tolerances and funding is optimised.
- Assist the Treasurer in CFM deposit placements
- Assist in the preparation of the daily cash management MI pack
- Prepare monthly ALCO pack
- Attend ALCO, assist in the follow-up of outstanding actions
- Assist in the preparation of the quarterly liquidity stress tests
- Assist in the annual update of the ILAA, liquidity policy, capital management policy
- Assist in all Treasury matters, as required, including analysis of funding, liquidity, capital positions
- Analyse, suggest and, where approved, implement improvements to all Treasury processes, working with and utilising the firm's multi-location strategy.

**Required Technical Knowledge
To build and maintain**:

- Appropriate skills and expertise as required for the role including an accounting and/or treasury qualification or equivalent.
- A good understanding of liquidity risks in the industry and the ability to model risks and present in the Internal Liquidity Adequacy Assessment submissions
- A strong interest in constant process improvement and automation by developing automated solutions to enable better quality MI to enable business decisions
- A working knowledge of changes in the market and to products, legislation and regulation.

**Regulatory**:

- Be able to demonstrate and maintain the necessary competence to discharge the responsibilities of the role, including achieving a good standard of ethical behaviour and (if required) attained each module of an appropriate qualification.
- To uphold the 11 FSA Principles for Business and to actively encourage a culture of compliance throughout the firm.

**Generic Staff Responsibilities**:

- Comply with all BNY Mellon and Pershing corporate policies and procedures, including HR policies and procedures, applicable to Pershing.
- Alert management immediately of any significant changes to business risks and internal control effectiveness.
- Notify management and/or the Chief Compliance Officer immediately on discovery of any material regulatory breach.
- Comply with all Security and Health & Safety policies and procedures operating within the business.

**Shared Values and Core Competencies**
**Values**:

- Client Focus: demonstrates clear understanding of importance of effective customer service, internally and externally.
- Trust: evidences high standards of integrity and openness.
- Teamwork: demonstrates ability to work effectively as a member of a team, a collaborative style, and understands the value of diversity.
- Outperformance: evidences the ability to exceed expectations of others.
- Core Competencies
- Building Organizational Talent: Evaluating and selecting internal and external talent to ensure the best match between the individual and the work requirements. Provides timely coaching, guidance and feedback to help others maximize their potential andmeet key accountabilities.
- Change Leadership: Encouraging others to seek opportunities for different and innovative approaches to addressing problems and opportunities; facilitating the implementation and acceptance of change.
- Client Orientation: Cultivates client relationships and ensures that the client perspective is the driving force behind all value added business activities.
- Developing Partnerships: Using appropriate interpersonal styles and communication methods to influence and build effective relationships with business partners (e.g., peers, functional partners, external vendors, and alliance partners).
- Driving Execution: Setting high goals for personal and group accomplishment; using measurement methods to monitor progress toward goals; tenaciously working to meet or exceed goals while deriving satisfaction from that achievement and continuous improvement.
- Operational Decision Making: Securing and comparing information from multiple sources to identify business issues; committing to an action after weighing alternative solutions against important decision criteria and organizational values.
- Global Acumen: Demonstrating an understanding of the competitive global business environment as well as an awareness of economic, social, and political trends that impact the organization's global strategy.
Employer Description:
For over 230 years, the people of BNY Mellon have been at the forefront of finance, expanding the financial markets while supporting investors throughout the investment lifecycle. BNY Mellon can act as a single point of contact for clients looking to create,trade, hold, manage, service, distribute or restructure investments and safeguards nearly one-fifth of the world's financial assets. BNY Mellon remains one of the safest, most trusted and admired companies. Every day our emplo



  • Manchester, United Kingdom The Bank of New York Mellon Corporation Full time

    **The role reports into the Treasurer with responsibility for**: - Assist in placing client cash/ Firm cash at banks and ensure revenue optimisation from Client cash balances (CFM) and Firms cash (NII). - Assist in the management of liquidity risk and maintenance, monitoring and reporting of liquidity stress tests - Oversee the production of the daily...


  • Manchester, United Kingdom BNY Mellon Full time

    Overview **The role reports into the Treasurer with responsibility for**: Assist in placing client cash/ Firm cash at banks and ensure revenue optimisation from Client cash balances (CFM) and Firms cash (NII). Assist in the management of liquidity risk and maintenance, monitoring and reporting of liquidity stress tests Oversee the production of the daily...


  • Manchester, United Kingdom eFinancialCareers Full time

    **Overview** Overview Of BNY Mellon: **Job Purpose**: **Responsibilities**: - Daily/monthly/quarterly reconciliation of the balance sheet database including adjustment processing. **Requirements**: - Skilled in Microsoft Excel, including pivot tables. - Some experience with Database Structure and the ability to use SQL for data analysis. - Some experience...


  • Manchester, United Kingdom BNY Mellon Full time

    J **ob Purpose**: **Responsibilities**: - Daily/monthly/quarterly reconciliation of the balance sheet database including adjustment processing. **Requirements**: - Skilled in Microsoft Excel, including pivot tables. - Some experience with Database Structure and the ability to use SQL for data analysis. - Some experience with balance sheet data, its use,...


  • Manchester, United Kingdom BNY Mellon Full time

    Overview Bring your ideas. Make history. BNY Mellon offers an exciting array of future-forward careers at the intersection of business, finance, and technology. We are one of the world's top asset management and banking firms that manages trillions of dollars in assets, custody and/or administration. Known as the “bank of banks” - 97% of the world’s...


  • Manchester, United Kingdom High5 Full time

    Job Title: Treasury Operations SpecialistLocation: Manchester Hybrid, Duration: 4-6 months Job Overview:We are seeking a highly skilled Treasury Operations Specialist to join our team at High5. In this role, you will be responsible for formulating quality assessments, reports, and metrics to inform go/no-go decisions based on test progress and defect...


  • Manchester, United Kingdom The Bank of New York Mellon Corporation Full time

    **_Bring your ideas. Make history. _** BNY Mellon offers an exciting array of future-forward careers at the intersection of business, finance, and technology. We are one of the world's top asset management and banking firms that manages trillions of dollars in assets, custody and/or administration. Known as the “bank of banks” - 97% of the world’s top...

  • Treasury Specialist

    2 months ago


    Manchester, United Kingdom High5 Full time

    Job Description Role - Treasury Test Lead Duration - 4-6 months Location - Manchester Hybrid Role Details: Test Manager Skills • Participating in preparation of quality assessments, reports, and metrics formulating go-no go statement based on reports and metrics, test progress and defect status • Acting as the main liaison communicating between the...

  • Treasury Specialist

    2 months ago


    Manchester, United Kingdom High5 Full time

    Role - Treasury Test Lead Duration - 4-6 monthsLocation - Manchester HybridRole Details:Test Manager Skills• Participating in preparation of quality assessments, reports, and metrics formulating go-no go statement based on reports and metrics, test progress and defect status• Acting as the main liaison communicating between the team the rest of the...

  • Treasury Specialist

    2 months ago


    Manchester, United Kingdom High5 Full time

    Role - Treasury Test Lead Duration - 4-6 monthsLocation - Manchester HybridRole Details:Test Manager Skills• Participating in preparation of quality assessments, reports, and metrics formulating go-no go statement based on reports and metrics, test progress and defect status• Acting as the main liaison communicating between the team the rest of the...


  • Manchester, United Kingdom Great Places Housing Group Full time

    **Salary**: Up to £50,000 **Job Type**: Full Time, Permanent **Location**: Head Office **Benefits**: Competitive pension, 26 days holiday plus bank holidays, increasing with service, cycle to work scheme, season ticket loans for public transport plus much more. Are you a person with a passion to be part of a thriving organisation? Great Places Housing...


  • Manchester, United Kingdom MDM Resourcing Full time

    Senior Treasury Manager £65,000 + benefits, bonus, pension Our client is one of the world’s leading elite sports groups, owner of a number of renowned football clubs and sports brands around the world including one of the UK’s leading Premiership Football Clubs. An exciting opportunity has arisen for an experienced Treasury Manager to join the Group...


  • Manchester, United Kingdom Hays Senior Finance Full time

    A forward-thinking Financial Services company in Manchester is seeking a skilled Treasury and Cash Flow Expert to join their team. As a Maternity Cover Accountant, you will be responsible for managing the company's cash flow, preparing cash flow projections, and working closely with the Management Accounting team to ensure smooth operations.Key...


  • Manchester, United Kingdom SF Recruitment (Manchester) Full time

    SF Recruitment is excited to announce an exciting opportunity for a talented Group Treasury Management Specialist to join our team in Manchester.As Group Treasury Management Specialist, you will play a key role in developing and implementing effective treasury strategies, ensuring compliance with regulatory requirements and optimizing cash flows. This is a...


  • Manchester, United Kingdom Hays Specialist Recruitment Limited Full time

    Assistant treasury accountant job for a shared service centre on the outskirts of Manchester city centre. **Your new company** This internationally renowned company are looking for an assistant treasury accountant to join their team on a 6 month temporary basis.This is a great opportunity to further develop your skills and experience working in a fast paced...

  • Treasury Accountant

    5 days ago


    Manchester, United Kingdom BAYMAN TOPPING AND SMYTHE LIMITED Full time

    **Treasury Accountant - £36,949 to £41,446 + Benefits - North Manchester or Wigan (Hybrid role 50% home / 50%office and the option to condense 5 full days into 4 days) ** Our client is one of the largest service providers in the housing sector and we are looking for an experienced treasury accountant to join an ambitious and highly regarded treasury team....


  • Manchester, United Kingdom NatWest Full time

    NatWest Markets is looking for a Treasury Management Specialist to join its team. In this role, you will be responsible for providing expert advice and guidance on treasury management practices, and will play a key role in ensuring the effective management of the bank's cash and liquidity positions.You will work closely with the trading desk teams to deliver...


  • Manchester, United Kingdom SF Recruitment (Manchester) Full time

    About the Role">SF Recruitment (Manchester) is a reputable professional services firm seeking a skilled Senior Financial Manager - Group Treasury to join our team.Estimated Salary: £70,000 - £90,000 per annum based on industry standards for this role and location.Responsibilities">Oversee all aspects of group treasury, including cash management and...

  • Treasury Assistant

    4 days ago


    Manchester, United Kingdom Simpson Millar LLP Full time

    We are currently looking to recruit a Treasury Assistant on a 12month Fix Term Contract, based out of our Manchester office. This role is on mostly remote basis with the requirement to attend regular team meetings in the office. The role of the Treasury Assistant is to support the Treasury Manager in managing the cash position of the business on a daily...


  • Manchester, United Kingdom SF Recruitment (Manchester) Full time

    Job SummarySF Recruitment (Manchester) is seeking an experienced Head of Group Treasury Operations to join our team. As a key member of our treasury department, you will be responsible for managing central treasury, cash, and working capital operations.Key Responsibilities:Develop and implement cash forecasting models to optimize liquidity and reduce...