Role Summary:
Our client, a leading international group, is seeking a Senior Treasury Risk Manager to join their dynamic team based in London. Reporting to the Head of Treasury Markets, the successful candidate will play a crucial role in managing financial risks and providing risk management support to businesses across the group.
Key Responsibilities:
* Business Partnering:
* Provide Treasury support on Treasury related activities to selected businesses.
* Establish the role and Treasury as a key support and value add partner, focusing on risk
management and working capital.
* Lead in implementing best practice governance structures within businesses.
Risk Management:
* Analyse financial market risks and exposures.
* Support businesses in quantifying, analysing, and reporting financial exposures.
* Lead on the aggregation of business risks to provide a consolidated group exposure.
* Identify, review, and optimize existing hedging strategies within businesses.
Execution & Compliance:
* Execute hedges on behalf of the group's businesses.
* Lead on the establishment of net currency hedging.
* Ensure compliance with relevant treasury market risk regulations.
Financial Markets Insight:
* Produce and develop internal market reporting for currency, commodities, rates, and credit risk.
* Deliver insights to the group and its businesses.
Working Capital:
* Identify and implement working capital improvement initiatives.
Governance, Controls & Reporting:
* Review Treasury policies annually and communicate them across the group.
* Lead the production of quarterly Risk Management Committee pack, period Treasury report, and business unit periodic Treasury reporting.
* Support the production of the annual audit committee paper.
Technology:
* Identify technology risk solutions that integrate into the Treasury Technology Eco system.
* Partner with businesses on technology selection or the application of lead technology.
Candidate Requirements:
* Curious individual with a drive to understand what makes businesses successful and enhance commercial activities.
* Strong commercial acumen.
* Strong and adaptable interpersonal skills, including advanced influencing skills.
* Resilient, with an expectation that Treasury excellence is delivered at all times.
* Strong understanding of corporate risk management techniques and products.
* Numerate and analytical individual.
* Ideally qualified Associate/Member of Corporate Treasurers Association or equivalent.
* Finance experience, ideally obtained within large international businesses, either within a Group or Risk Function.
* Good understanding of accounting standards relevant for Treasury.
We look forward to hearing from you!