Investor Relations Finance Manager
As Investor Relations Finance Manager, you’ll play a pivotal role within the Investor Relations team, partnering closely with the Head of Investor Relations and IR Manager to deliver a best‑in‑class IR function with a strong focus on financial insight and analysis. You’ll lead and shape the analyst relations programme, own the consensus process, deliver insightful ad‑hoc financial modelling, track capital market activity and produce compelling peer group analysis. Acting as the day‑to‑day face of the business to the analyst community, you’ll bring strong financial acumen, commercial awareness and the confidence to actively discuss and challenge views on TW’s performance, strategy and future prospects.
You’ll build strong, collaborative relationships across the business, working closely with teams including Finance, Treasury, Communications, Company Secretariat, Legal and Regulation, as well as developing a broad internal network within Operations. Externally, you’ll engage with a high‑profile and diverse stakeholder group, including investors, analysts, bankers and brokers, playing a key role in representing the business to the market.
What you will be doing
* Analyst relations including the consensus process – Leading the day to day relationships with analysts; developing an analyst relations programme to ensure analysts are kept fully appraised of the company’s strategy and prospects
* Modelling and analysis – Ad hoc modelling and financial analysis, desk research, creation of ready reckoners and crib sheets, supporting the CEO/CFO with analysis
* Capital markets monitoring – Real‑time monitoring of bond and equity markets, providing reports and insights to C‑suite as needed
* Peer group analysis – Monitoring listed/unlisted/international peer group, including peer results analysis, producing reports on peer performance, tracking best practice within the peer group
* Investor Relations support – Support the Head of Investor Relations working alongside the IR Manager in delivering all aspects of the IR function from an analytical and capital markets perspective
What You Should Bring To The Role
* Strong financial background with excellent modelling, analytical and numerical capabilities evidenced by a financial qualification (e.g. ACA, ACCA, CMA, CFA).
* In‑depth experience working in the capital markets (investment banking, corporate broking, research, asset management) or internal finance function in a corporate entity (corporate finance, investor relations, treasury, finance department).
* A sound working knowledge of the capital markets, corporate finance, share register analysis, regulatory environment, financial modelling techniques, and valuation methodologies used by analysts and investors is essential.
* Strong Excel, PowerPoint and AI tools skills.
What's in it for you?
* Competitive salary of up to £75,000‑£85,000 per annum, depending on experience.
* Annual leave – 26 days holiday per year, increasing to 30 with length of service (plus bank holidays).
* Car allowance – £5,800.
* Annual bonus.
* Private medical health care.
* Contributory pension – defined contribution, maximum of 12% – 2× employee contribution.
* Personal medical assessments – open to all once a year.
* Access to a range of benefits to support health and wellbeing and finances, including annual health MOTs, physiotherapy and counselling, cycle‑to‑work schemes, shopping vouchers and life assurance.
* Performance‑related pay plan directly linked to company performance measures and targets.
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