Treasury and Cash Risk Management Expert

7 days ago


London, Greater London, United Kingdom ZipRecruiter Full time

**Job Overview**

We are seeking a highly skilled Treasury and Risk Manager to join our team at ZipRecruiter. This role is responsible for managing the Group's cash management structures, risk reporting, and control framework.

The ideal candidate will have strong technical knowledge of treasury operations and be able to build effective relationships with external and internal stakeholders.

**Key Responsibilities:**

  • Enhance Financial Resilience: Identify and mitigate risks, develop liquidity management strategies, implement risk assessment processes, and foster a risk-aware culture.
  • Strengthen Compliance and Controls: Ensure compliance with regulatory requirements and internal policies by regularly reviewing treasury policies, conducting internal audits, and collaborating with legal and compliance teams.
  • Drive Efficiency and Automation: Streamline treasury processes through technology and automation, exploring treasury management systems, implementing straight-through processing, and leveraging data analytics.

**Requirements:**

  • Strong technical treasury knowledge and ability to build effective relationships across external and internal stakeholders.
  • Financial qualification or qualified by experience (e.g., CIMA, ACCA, AMCT/MCT).
  • Accomplished financial executive with a distinguished career in Finance.
  • Reputation for delivering results in dynamic and challenging environments with a strategic mindset that aligns with the business' vision and goals.
  • Experience in fostering cross-functional collaboration, working closely with finance, risk management, and other business stakeholders to achieve integrated solutions that drive sustainable growth.
  • Estimated Salary: £60,000 - £80,000 per annum.


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