Cash Management Executive

13 hours ago


London, Greater London, United Kingdom Undisclosed Full time

**Role Summary**

The Treasury Risk Manager will be responsible for managing the Group's cash management structures and relationships with core transactional banks, while also enhancing financial resilience, strengthening compliance and controls, driving efficiency and automation, and fostering cross-functional collaboration.

Key Responsibilities:

  • Manage the Group's cash management structures and relationships with core transactional banks.
  • Identify and mitigate risks, develop liquidity management strategies, and implement risk assessment processes.
  • Ensure regulatory requirements are met, review treasury policies, conduct internal audits, and collaborate with legal and compliance teams.
  • Streamline treasury processes through technology and data analytics.

Requirements:

  • Strong technical Treasury knowledge and ability to build effective relationships across stakeholders.
  • Financial qualification or qualified by experience (e.g.: CIMA, ACCA, AMCT/MCT).
  • Accomplished financial executive with a distinguished career in Finance.
  • Experience in fostering cross-functional collaboration, working closely with finance, risk management, and other business stakeholders.
  • Committed to driving innovation in treasury practices, leveraging technology, and staying ahead of industry trends.

Estimated Salary: £500 per day via Umbrella, offering a competitive compensation package in line with industry standards.



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