I am currently partnering with a large FTSE-listed FMCG business based in Slough who are looking to hire a senior Treasury professional to develop their Treasury function and introduce best-in-class policies and processes.
This role will be working across BAU aspects of Treasury primarily with cash management, FX hedging, reporting and forecasting. You will also be implementing a new Treasury strategy to design and carry out appropriate policies.
Responsibilities:
- Taking ownership of all cash responsibilities including cashflow forecasting and helping to redesign the cash pooling systems
- Introducing new treasury policies
- Ensuring compliance is upheld in line with existing treasury policies
- Managing FX risk and hedging
- Building out a team in the future.
Requirements:
- AMCT qualified
- Experienced in building out/developing a Treasury function
- Designing and implementing Treasury policies
- A strategic attitude and experienced with people management
- Good understand of FX risk
- Excellent skills with cash management
- TMS implementation experience would be preferable
Offering hybrid working 2-3 days/pw in the office and paying a base salary of £80,000.