Current jobs related to Treasury Manager - UK, UK - Unity Trust Bank
-
Treasury Manager
1 month ago
UK, UK, United Kingdom Finatal Full timeTreasury ManagerPackage up to £100k DOEFully RemoteLD11694Finatal is partnering with a leading Private Equity-backed SaaS business that provides a full suite of software to Financial Institutions. The need for a Treasury Manager has become crucial to growth as they continue to scale internationally through acquisition. This is a greenfield role with...
-
Group Treasury Manager
2 weeks ago
UK, UK, United Kingdom We Do Group Full timeGroup Treasury Manager18 Month Contract£400 - £500 per day Weybridge - Hybrid (2/3 days in office per week)Are you an experienced accounting professional looking for a dynamic and diverse role within treasury management? This is an exciting opportunity to join our client, a nationally recognised construction company, in a position that plays a pivotal role...
-
Senior Treasury Manager; DCM
4 days ago
UK, UK, United Kingdom Empirical Search Full timeA broad role in the Group Treasury Function of a fast growing, PE owned, personal lines insurance broker. The role will be supported by a small team of Treasury professionals.The role supports the Deputy Head of Treasury in the development and management of a well governed, process driven and efficient Treasury Desk. The role is a subject matter expert in...
-
Treasury Operations Assistant Manager
2 months ago
UK, UK, United Kingdom IPOE Consulting Full timePrestigious International Bank based in London, are looking to recruit an Assistant Operations Manager to join their expanding Operations team. Ideal candidates must have at least 5 years Treasury Operations experience, ideally within Private Banking and previous managerial/supervisory experience.Main responsibilities will include;Be responsible for all...
-
Treasury Operations Controller
4 weeks ago
UK, UK, United Kingdom Undisclosed Full timeTreasury Operations Controller 3 Months £600p/d via Umbrella Location: (Tottenham Court Road) - London Job Purpose The purpose of the role is to support the Treasury Operations Manager to manage the day-to-day back office activities of the Treasury Operations team. Primarily this would include settlements, confirmations, special one off transactions (step...
-
Treasury Director
2 weeks ago
UK, UK, United Kingdom Sinclair Full timeSinclair is looking for a Treasury Director who will be responsible for managing all aspects of our global treasury operations, including cash forecasting, controlling and improving cash positions, managing global treasury activities, and planning for foreign exchange (FX) management. This role requires a strong understanding of international finance and the...
-
Head of Treasury
3 weeks ago
UK, UK, United Kingdom Eton Bridge Partners Ltd Full timeEton Bridge Partners are working in partnership with a professional services business, to appoint a Global Treasurer reporting to the Global Head of Financial Control. This role will be to develop and implement treasury strategies to support their growth strategy. Location: London or Manchester (c.2-3 days in the office)Compensation: c. £120k- £130k plus...
-
Head of Treasury
2 weeks ago
UK, UK, United Kingdom Brewer Morris Full timeI have been exclusively retained on a role with a multinational business based in Sheffield. The role reports directly into the Group Financial Controller and will be responsible for the overall liquidity and cash management of the group. This will include:Manage both the Group’s short and long-term cash requirements including decisions on...
-
Treasury Operations Analyst
1 month ago
UK, UK, United Kingdom Allica Bank Full timeAbout AllicaAllica is the UK’s fastest growing company - and the fastest-growing financial technology (fintech) firm ever. Our purpose is to help established SMEs, one of the last major underserved opportunities in fintech. Established SMEs are the backbone of local communities - representing over a third of our economy - yet have been largely neglected...
-
Junior Treasury Analyst
1 month ago
UK, UK, United Kingdom Richard James Recruitment Specialists Ltd Full timeOur client is an established Crude and Oil Products trading company based in London, with physical assets across Europe. They actively source, refine, market and trade Crude Oil and Oil products, and associated financial derivatives. RESPONSIBILITIES:Reporting to the Treasury Manager, the role requires a treasury operations/payment professional to join the...
-
Treasury Data Analyst
3 weeks ago
UK, UK, United Kingdom JSS Search Full timeA reputable Challenger Bank are looking for a Treasury Data Analyst to join their London team. This role will focus on continued system development, model building/maintenance and improvement of data reporting/analytics.ResponsibilitiesMaintain and develop the bank's treasury management systemEnsure optimisation of data across teams within...
-
Senior Treasury Analyst
2 weeks ago
UK, UK, United Kingdom Britannia Global Markets Limited Full timeIntroductionBritannia Global Markets is a global financial group offering banking, securities and investment management services, providing a wide range of bespoke financial services to a substantial and diversified client base that includes corporations, financial institutions, and individuals.With more than 120 years of banking tradition, the group is...
-
UK, UK, United Kingdom Empirical Search Full timeThe role contributes to the build of a central Treasury function, in a complicated and fast-growing group structure, supporting the Deputy Head of Treasury alongside a small team of Treasury professionals. Primary responsibility will be to support the Treasury Manager in the management of the daily operational activity of the Group Treasury.Role...
-
Treasury Accountant
2 weeks ago
UK, UK, United Kingdom Sellick Partnership Full timeSellick Partnership has been assigned on an exclusive basis to recruit a Treasury Accountant for a profitable and fast moving entrepreneurial business in Manchester. The business has grown substantially year on year and will continue to do so in line with their strategic plan.We are looking for a driven and enthusiastic candidate with exposure in a similar...
-
Liquidity Reporting Manager – Group Treasury
1 month ago
UK, UK, United Kingdom Alexander Ash Consulting Full timeLiquidity Reporting Manager – Group TreasuryA leading investment bank is improving liquidity management and reporting frameworks and have an opportunity for an experienced Liquidity Reporting Manager to play a key role in both day-to-day monitoring and framework enhancements. You will be responsible for assessing frameworks, templates, and controls for...
-
Business Analyst, Treasury Analytics
1 month ago
UK, UK, United Kingdom Jefferies Full timeAbout UsJefferies Financial Group Inc. (‘‘Jefferies,’’ ‘‘we,’’ ‘‘us’’ or ‘‘our’’) is a U.S.-headquartered global full service, integrated investment banking and securities firm. Our largest subsidiary, Jefferies LLC, a U.S. broker-dealer, was founded in the U.S. in 1962 and our first international operating subsidiary,...
-
Asset Securitisation
1 month ago
UK, UK, United Kingdom Finrec.io Full timeLeading financial services company undergoing an Asset Securitization project in Dubai are seeking someone to lead the initiative from an Operations and Technology prepectiveDescription• Project Management of Project Secure to complete the deliverables in timelines and within budget• Act as key point of contact for Operational execution of Project Secure...
-
Contract Risk Analyst
2 months ago
UK, UK, United Kingdom X4 Technology Full timeRole: Risk Analyst (Treasury & Liquidity)Contract: 6 months rollingLocation: Canary WharfRate: £450-500/d inside IR35X4 Technology are partnered with a global bank in Canary Wharf who are offering the opportunity for a contract Risk Analyst to join their team on an initial 6 month basis, with a day rate of £450-500/d inside IR35.Responsibilities of the...
-
Treasury Operations Associate
1 week ago
London, UK, UK, United Kingdom IPOE Consulting Full timeInternational Bank based in the City of London are looking to recruit a Treasury Operations Associate to join their London office. This is a brand new headcount, to support the bank’s expansion plans, following the launch of new products. Fantastic opportunity to really make the position your own and play an important part in the bank’s growth.You’ll...
-
Treasury Operations Associate
2 weeks ago
London, UK, UK, United Kingdom IPOE Consulting Full timeInternational Bank based in the City of London are looking to recruit a Treasury Operations Associate to join their London office. This is a brand new headcount, to support the bank’s expansion plans, following the launch of new products. Fantastic opportunity to really make the position your own and play an important part in the bank’s growth.It's...
Treasury Manager
4 months ago
We are looking for a Treasury Manager to join our team
About Unity Trust Bank plc
Unity is a specialist business bank with a difference. Unity supports SMEs and organisations that share its values in wanting to contribute to positive economic, social and environmental change. We operate throughout the UK, with offices in Birmingham, London and Manchester.
For over 37 years the bank has worked with organisations and SMEs that share its values and philosophy, offering a full range of banking services including current accounts, savings accounts, and loans.
Independent since December 2015, its purpose is to help create a better society, not just maximise profit. Unity’s focus on its customers, employees, and the communities it serves is what sets it apart and allows it to deliver on the bank’s ‘Double Bottom Line’ strategy through volunteering, education and fundraising.
As we look to grow our reach further, Unity, our people and our customers, are committed to helping to create a better society for all.
Unity is a Real Living Wage employer, a Fair Tax Mark business, a Women In Finance Charter signatory, member of the Banking Standards Board and currently holds the Investors in People Gold standard.
The role
- Ensure all models are fit for purpose and comply with the relevant best modelling practices.
- Support the Head of Treasury in the production of the ICAAP, ILAAP, Recovery Plan and Resolution Pack.
- Support the Head of Treasury with forecasting and stress testing framework, control framework and procedures.
- Support derivative requirements around execution, booking, valuation and accounting.
- Undertake margin and stability analysis as required.
- Provide holiday and sick cover for other members of staff as required.
- Ensure all procedures are up to date, accessible and intuitive to all team members.
Some of your responsibilities will include:
- Liaison with treasury service providers.
- Responsible for the development and running of regular stress tests and scenarios analysis for liquidity, capital and interest rate risk. Feed latest regulatory guidance into modelling.
- Co-ordinate and continually improve the management information provided to ALCO and taking minutes at the meeting. As the business grows and the operating model becomes more complex, the approach to balance sheet management will be developed further.
- Accountable for ALCO paper preparation on key areas of model output and model risk, regulatory updates and internal modelling assumptions.
- Develop / evolve models and produce data to support capital management and forecasting.
- Cover for the Liquidity Analyst in producing daily liquidity information, analysing data and recommend to the Head of Treasury, potential liquid assets investments / divestments. Also cover for the production of the weekly treasury flash.
- Co-ordinate with finance and information technology for the maintenance of Treasury systems.
- Support the Head of Treasury and the Chief Financial Officer in the implementation of derivative capability and the development of hedging strategies.
- Provide input to the finance process to continually seek improvement and ensure all procedures maintained and revised regularly for processes under your control.
The person
We are keen to hear from experienced Treasury Managers who can work collaboratively and have the following skills:
Professional qualifications:
Relevant Treasury qualification (e.g. AMCT) (D)
Knowledge requirements (and how this is typically gained)
Strong track record in financial services
Knowledge of Treasury and finance
Understanding of balance sheet and Treasury risks
Understanding of key liquidity and capital ratios
Understanding of ILAAP and ICAAP
Understanding of stress testing and scenario analyses
(E = essential D= desirable)
The role will be Birmingham based.