This role is responsible for all funding, cash management, cash forecasting, and product control for £4B of assets.
The specific role will contribute to the success of Treasury by providing:
- Support within the Cash & Treasury Analytics team to ensure the business always has sufficient liquidity to fund its receivables and operations daily.
- High quality analytics and insights to support critical decision making.
Role Description
- Production of daily cash forecast for the next 60 days – used to manage all cash across the company.
- Operate and manage all bank accounts and banking relationships, including oversight of the company's bank account structure.
- Manage liquidity data requirements for internal and regulatory reporting.
- Assist in the design, execution, and ownership of all cash management, liquidity planning, and cash forecasting responsibilities.
- Monitor daily cash levels, seek to improve modelling and reporting capabilities.
- Ensure all relevant policies and procedures are regularly reviewed, updated, and in compliance with internal risk and control standards.
- Play a key role in the preparation of the Company’s annual Budget and major strategic forecasts for cash flow forecasting and funding by helping to align external and internal key performance indicators and messaging, thus helping to deliver a coherent, integrated multi-year forecast for cash flow and funding.
- Support the Group’s stress testing and scenario analysis, including macro scenarios and working with teams across the business to develop PRA style stress testing.
- Analyse actual performance against forecasts on a monthly basis, understanding and explaining differences and improving the forecast models as required.
- Treasury person working in collaboration with the Director of Treasury Markets in analysing, modelling, and forecasting/planning the future funding plan for the company.
- Lead the ad hoc preparation of analysis and materials and provide insight to support presentations to Group Board, Executive Committee, Ratings Agencies, Shareholders, and Regulators.
- Support any M&A / Corporate Development / new initiative activity by analysing funding solutions.
- Lead Treasury projects, facilitate issue resolution, and provide recommendations to senior colleagues.
- Support the investor relations process by leading the preparation of any Treasury specific analysis and materials.
- Support implementation of Treasury IT infrastructure.
- Collaboratively work with colleagues in Funding and Reporting teams, as well as key partners within the wider Finance group.
Role Requirements
- Knowledge and experience of designing, executing, and monitoring cash management within a Treasury team.
- Uses knowledge of cash management techniques to provide input and ideas for both medium and long term business strategies and direction, and continually reviewing these to determine when changes require amendments.
- Highly proficient in Excel, with experience building corporate level financial forecasting models in Excel, using a logical and analytical approach.
- Ability to generate commercial insight from raw data.
- At least a 2.1 degree in a highly numerical discipline such as Economics, Finance, Statistics, Mathematics, or similar.
#J-18808-Ljbffr