Flexible Work, Better Balance
To support the Group Treasury Director in the management of the Group’s key financial risks and Treasury function. Deputising where required.
External Funding - to support the ongoing management of Group debt.
Internal Funding - Oversee the internal funding of Group entities, collaborating with the Global Service Centre (“GSC”) and Group Tax function to ensure the entities are funded in the most effective manner.
Risk Management - to work with the Group Treasury Director, to identify, assess and develop strategies to manage the Group’s financial risks effectively. Including but not limited to foreign exchange, interest rate, liquidity, and counterparty risk.
Relationship Management - Work with the Group Treasury Director to build and maintain relationships with key external and internal stakeholders.
Treasury Operations - Work with the Gro...