The Group Treasurer will be responsible for all aspects of the Group’s cash and liquidity management including:
Optimising cash risk management and counterparty oversight.
Managing and building out the Group’s FX hedging programme.
Sourcing and securing fund financing; LP backed bridge facilities, hybrid facilities and asset backed financing.
Financial modelling of the impact of financing facilities and FX programme.
Delivering treasury reports to Audit & Risk Committee.
Managing and developing further banking relationships for the Group.
Qualified accountant or AMCT/MCT.
Fund experience preferred (bank or in-house).
Technology focused and ability to question process and improvements.
Be vocal and fit into a dynamic driven team.