We are exclusively partnered with an award winning financial services company based in Central London. This company is well known for their innovative approach a diverse product portfolio that have allowed them to have rapid growth and doubling their revenue year on year. With a commitment to excellence and a dynamic team driving success, they are seeking a strategic and seasoned Group Treasurer to lead their Treasury function.
As the Group Treasurer, will be play a pivotal role in the company to help shape the financial strategy for the businesses product offering and investment tactics. This is a very unique opportunity to join a fast-paced environment where creativity and a strategic mind-set are highly valued and crucial to the success of the position. Reporting directly into the executive team, you will be taking full ownership of the Treasury function and driving initiatives to aid the further diversification of the product offering and the efficiency of the Treasury operations.
Responsibilities:
* Collaborate with senior management to develop and execute a comprehensive treasury strategy aligned with the company's overall business objectives
* Provide insights and recommendations on product diversification opportunities, leveraging market trends and competitor analysis to drive revenue growth
* Be analytical of market trends, industry developments and regulatory changes, proactively identifying opportunities and risks to inform strategic decision-making
* Design and implement a dynamic investment strategy tailored to the company's risk appetite and financial goals
* Develop and maintain internal treasury policies and procedures in accordance with regulatory requirements and industry best practices
* Design robust governance frameworks, including ICAAP, ILAAP, and ICAAP, to ensure compliance and mitigate risks
* Identify training and development opportunities to enhance the skills and capabilities of the treasury team, promoting career growth
* Establish and maintain robust risk management frameworks to identify, assess, and mitigate financial risks, including market risk, credit risk, liquidity risk, and operational risk
* Lead the implementation of a Treasury Management System (TMS) from the initial RFP stage to go-live, overseeing project timelines, budgets, and deliverables
* Provide guidance and support to end-users during system testing, training, and post-implementation support, driving user adoption and maximising system capabilities.
Requirements:
* AMCT AND/OR accounting qualification
* Degree level in a mathematics or accounting based subject
* Proven experience in a senior treasury role within the financial services sector, preferably within fintech or a similarly dynamic industry
* Strong strategic mindset with a track record of implementing innovative solutions to drive business growth
* In-depth knowledge of regulatory compliance requirements and experience designing and implementing internal policies and controls
* Excellent leadership and communication skills, with the ability to motivate and develop a high-performing team
* Experience leading technology projects, particularly in the implementation of Treasury Management Systems, is highly desirable.
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