Group Treasury Senior Manager
4 days ago
Our purpose is to provide clients with access to global financial and commodities markets, improving price discovery, liquidity, and distribution of data, through responsible and innovative solutions.
Through our people and technology, we connect clients to superior liquidity and data solutions.
The Group is home to a stable of premium brands. Collectively, TP ICAP is the largest interdealer broker in the world by revenue, the number one Energy & Commodities broker in the world, the world's leading provider of OTC data, and an award winning all-to-all trading platform.
Founded in London in 1866, the Group operates from more than 60 offices in 27 countries. We are 5,200 people strong. We work as one to achieve our vision of being the world's most trusted, innovative, liquidity and data solutions specialist.
Role Overview
This is a full time, permanent opportunity in our Group Treasury function, which sits in the firm's group headquarters in London.
TP ICAP operates a regional treasury structure. Group Treasury develops and administers policy for all treasury matters, centralises and manages financial risk, and manages the liquidity for the Group.
This is a critical role to support standardising processes and to consistently engage the regions to understand and challenge their working capital assumptions.
This role is a key bridge between Corporate functions and regional functional teams, assisting with the implementation of Group policies, process improvements and enhanced cash visibility across the Group. This person will support building processes to account for all treasury transactions coupled with the governance and controls that support correctly capturing and reconciling all treasury transactions to the general ledger. This is currently being migrated to the treasury management system.
Role Responsibilities
The candidate is needed to support the development and ongoing management of the group cash flow forecasting process, working with the regions and FP&A to standardise the approach.
The Treasury Manager role includes, but is not limited to, the following responsibilities:
Treasury Accounting including:
- Produce Treasury Financial and Management reporting including FX, loans and borrowings, cash and cash equivalents, investments and intercompany transactions
- Maintain and improve the reporting models
- Manage queries from internal and external stakeholders
- Support the transition to the Treasury Management System
- Develop a cash flow forecasting model
- Work with the regions to standardise cash flow forecasting
- Engage with the regional teams to produce an accurate group cash flow forecast
- Support the repatriation of funds to group and ensure the regions have sufficient liquidity for their working capital needs
- Support transformation including the development of the Treasury Management System
- Operate controls and support in the development of effective controls
- Support FX dealing and other treasury activities
Essential
- Financial reporting experience. Treasury accounting knowledge an advantage but not essential.
- Treasury products knowledge
- Qualified accountant
- Experience of working with Senior Leadership Teams and external stakeholders
- Worked collaboratively across regions and cultures in a global business
- Well-developed IT skills: MS Office and GL and consolidation systems
- Strong analytical ability and problem solving skills - proven ability to apply these skills to complex financial information
- Ability to influence and drive change
- Strong attention to detail highly organised with a proactive approach
- Self-motivated with a passion for delivering improvements and taking initiative
- A strong sense of ownership and accountability
- Experience with treasury management systems, particularly Kyriba, an advantage
- Managed corporate treasury liquidity and accounting in a multi-national group
- Experience in building and managing a cash flow forecasting model across multiple regions and stakeholders
- Demonstratable project management experience
Not The Perfect Fit?
Concerned that you may not meet the criteria precisely? At TP ICAP, we wholeheartedly believe in fostering inclusivity and cultivating a work environment where everyone can flourish, regardless of your personal or professional background. If you are enthusiastic about this role but find that your experience doesn't align perfectly with every aspect of the job description, we strongly encourage you to apply. You may be the ideal candidate for this position or another opportunity within our organisation. Our dedicated Talent Acquisition team is here to assist you in recognising how your unique skills and abilities can be a valuable contribution. Don't hesitate to take the leap and explore the possibilities. Your potential is what truly matters to us.
Company Statement
We know that the best innovation happens when diverse people with different perspectives and skills work together in an inclusive atmosphere. That's why we're building a culture where everyone plays a part in making people feel welcome, ready and willing to contribute. TP ICAP Accord - our Employee Network - is a central to this. As well as representing specific groups, TP ICAP Accord helps increase awareness, collaboration, shares best practice, and holds our firm to account for driving continuous cultural improvement.
Location
UK - 135 Bishopsgate - London
-
Treasury Manager
4 weeks ago
London,, UK, United Kingdom Tax & Treasury Recruitment Full timeTreasury Manager - ProjectsRole purpose:Tax & Treasury Recruitment have been asked one of our multi-national clients, based in Central London to recruit a Treasury Operations Manager, with a focus on driving companywide Treasury ProjectsThis role has been created following a significant acquisition and subsequent transformation programme to build a...
-
Manager Treasury Operations
4 weeks ago
London,, UK, United Kingdom Tax & Treasury Recruitment Full timeTreasury Operations Manager Role purpose: Tax & Treasury Recruitment have been asked one of our multi-national clients, based in Central London to recruit a Treasury Operations Manager.This role has been created following a significant acquisition and subsequent transformation programme to build a centralised, integrated Treasury function and this role is...
-
Interim Group Treasury Manager
4 weeks ago
London,, UK, United Kingdom Agora Talent Full timeAre you looking for your next treasury role within a household international brand? Perhaps the thought of being the main point of contact within treasury for senior stakeholders across a global business appeals to you…Agora Talent is delighted to be partnering with a highly-regarded fashion retailer on the search for a Group Treasury Manager to support...
-
Group Treasury Manager
4 weeks ago
London,, UK, United Kingdom JSS Search Full timeA financial services business are looking for an immediately available Group Treasury Manager to join their London team. The role is broad, covering treasury process improvement, cashflow forecasting and financial risk management.ResponsibilitiesCashflow forecasting and liquidity managementFinancial risk management, including interest rate hedgingDevelopment...
-
Group Treasury Manager
4 weeks ago
London, UK, UK, United Kingdom Cedar Full timeCedra is partnering a global Consumer business on an exciting Group Treasury Manager role. This is a great opportunity to join a dynamic and growing finance team, supporting ongoing expansion across the UK and international markets. This role will report to the Finance Director and is crucial in ensuring efficient treasury management, a strong control...
-
Senior Treasury Manager
2 months ago
London,, UK, United Kingdom Nationwide Building Society Part timeSenior Treasury Manager London, Bournemouth or Swindon Hybrid role (x2 days on site/ x3 WFH)Operating at the heart of Nationwide’s Treasury function – you will lead a team which will have a material impact on Treasury, through change, efficiency, and risk reduction.You will understand the needs of the business teams through partnership to drive value add...
-
Senior Treasury Change Manager
2 weeks ago
London,, UK, United Kingdom Nationwide Building Society Part timeSenior Treasury Change Manager London, Bournemouth or Swindon Hybrid role (x2 days on site/ x3 WFH)Operating at the heart of Nationwide’s Treasury function – you will lead a team which will have a material impact on Treasury, through change, efficiency, and risk reduction.You will understand the needs of the business teams through partnership to drive...
-
Interim Treasury Specialist
2 weeks ago
London,, UK, United Kingdom Finatal Full timeInterim Treasury Specialist £700-800 per day London – Hybrid6-Month ContractSL1105A Tier 1 private equity-backed SaaS business, headquartered in London, is seeking a highly skilled Interim Treasury Specialist to lead the professionalisation of its treasury function. This organization is at a pivotal stage in its growth, and the successful candidate will...
-
Treasury Risk Manager
1 month ago
London,, UK, United Kingdom Undisclosed Full timeTreasury Risk ManagerTreasury Risk ManagerThe location of the role is London (hybrid working). The duration of the contract is 6 months initially. The pay rate on offer is £500 per day (via Umbrella). Role SummaryThe Treasury Cash, Operations and Risk team is responsible for managing the Group’s cash management structures and managing the relationships...
-
Senior Treasury Analyst
4 weeks ago
London,, UK, United Kingdom JSS Search Full timeThis is a new Senior Treasury Analyst at a fast growing bank in London. This role offers hybrid working flexibility.Key ResponsibilitiesOverseeing the collation and reconciliation of all ALM / IRRBB dataSupport the management of the bank’s interest rate risk exposure by recommending hedging, including through the use of derivatives, typically interest rate...
-
Treasury Finance Manager
4 weeks ago
London, UK, United Kingdom NatWest Full timeJoin us as a Treasury Finance ManagerIf you have experience of finance control and a treasury or accountancy qualification or equivalent skill set, this is a unique opportunity to join our Treasury functionWe’ll look to you to deliver quality daily, monthly and quarterly reporting of our key liquidity and funding metricsYou''ll gain valuable...
-
Treasury Strat
4 months ago
London, UK, United Kingdom Deutsche Bank Full timeJob Description: Job Title: Treasury Strat Location: London Corporate Title: Vice President Group Strategic Analytics (GSA) is part of Group Chief Operation Office (COO) which acts as the bridge between the Bank's businesses and infrastructure functions to help deliver the efficiency, control, and transformation goals of the Bank. You will be...
-
Treasury Analyst
2 weeks ago
London, UK, UK, United Kingdom ED&F Man Commodities Full timeRole OverviewWe have an exciting opportunity for someone to join us as a Treasury Analyst to work in a truly global environment reporting to the Treasury Operations Manager. The Treasury Analyst will form part of the treasury operations department and help oversee and execute daily treasury activities, perform month-end duties, and monitor daily controls....
-
Treasury Business Development Manager
1 month ago
London,, UK, United Kingdom BACB plc Full timeAbout UsBACB is a UK bank that offers trade finance and investment expertise to clients in specialist markets, especially Africa and the Middle EastWe have been helping businesses with trade finance and complementary products for over half a century, focusing on trade flows to and from Africa and the Middle East as well as real estate in the UK.Our in-depth...
-
Interim Head of Treasury and Investment
4 weeks ago
London,, UK, United Kingdom The Management Recruitment Group Full time19453Interim Head of Treasury and Investment (must have local gov experience)Local Gov - London3 – 6 months£750 Per Day (Inside IR35)About the clientThe Management Recruitment Group is seeking an Interim Head of Treasury and Investment for a local authority in London.AccountabilitiesProvide leadership to this authority’s treasury and investment...
-
Senior Tax Manager
4 weeks ago
London,, UK, United Kingdom Marks Sattin Full timeA highly acquisitive international insurance group are looking for an ambitious Senior Tax Manager to oversee their UK tax reporting, advisory & compliance matters.The firm has a very dynamic and fast-paced environment with extensive exposure across senior management, they are looking for someone to take responsibility for the function with a heavy emphasis...
-
Group Treasurer
4 weeks ago
London,, UK, United Kingdom Ingenii Search Full timeAn excellent opportunity has arisen at a Global Market Leader for a Group Treasurer to join the business and take responsibility for a large Treasury function.In this pivotal position you will play a critical role in managing the key Treasury risks including funding/liquidity risk, foreign exchange risk, interest rate risk, bank relationships. You will also...
-
Senior Fund Finance and Treasury Analyst – London
2 months ago
London, UK, United Kingdom Kite Human Capital Full timeSenior Fund Finance and Treasury Analyst – London A Senior Fund Finance and Treasury Analyst is required to join a Specialised team within a Global Investment Bank based in London. This is a hybrid role requiring at least 3 days in the office. This Investment bank is launching a new Product and are looking for someone with a depth of experience around...
-
Account Manager
2 weeks ago
London,, UK, United Kingdom ISC Full timePosition Overview: The Account Manager will serve as the primary point of contact for a portfolio of enterprise clients and large financial institutions across the EMEA region. The role involves partnering with clients to understand their complex treasury management needs and ensuring they derive maximum value from the software applications. The Account...
-
Senior ALM Manager
4 weeks ago
London,, UK, United Kingdom JSS Search Full timeThe Senior ALM Manager will join the Asset & Liability Management (ALM) team, which is responsible for assessing and monitoring Market Risks, as well as Funds Transfer Pricing (FTP) for the whole group. The management of these risks is centralised within the Group Treasury function and ALM act as the first line control. ALM and Treasury sit in the centre of...