Treasury Manager

Location
Manchester, Greater Manchester
Salary
£70,000 - £75,000 plus benefits
Posted
17 Mar 2023
Closes
24 Mar 2023
Ref
BA
Job Title
Treasury
Experience Levels
Qualified Accountant
Contract Type
Permanent
Hours
Full Time

Grosvenor Cavendish is working with a leading business operating within the Outsourced Services sector. They are now looking to recruit a talented individual to the role of Treasury Manager.

Key Responsibilities:

  • Management of daily cash balances across all bank accounts
  • Liaise with banking stakeholders on relevant queries, developing these relationships via email and phone conversations
  • Facilitate the correct transfers between balances shown on system reconciliations to actuals received daily
  • Reconcile all key accounts, providing clear commentary on any un-reconciled amounts / outstanding amounts
  • Liaise directly with site management teams if discrepancies arise between system and actuals, then using these communications to seek process improvement or policy adjustments, and making recommendations on how to implement them
  • Manage the internal auditor relationship, being on hand to answer or explain any queries
  • Review and monitor on-site operational cash amounts I.E. till floats and petty cash
  • Liaise closely with payroll and AP to ensure accounts are funded for key calendar payments
  • Set up new accounts where required in alignment with merger and acquisition activity, partnering closely with these operational and finance teams
  • Manage the credit card company relationships, liaising closely with finance on cashflow impact aligned with reconciliations of credit card payments
  • Reconcile bank costs and charges, allocating cost to each operating site for inclusion in the monthly trading report
  • Frequent reporting on cash overs and shorts to site managers and finance leadership
  • Chaps payment administration
  • Prepare daily cashflow reports in alignment with finance
  • Generic account administration I.E. account signatories, card holders and access
  • Take a pro-active approach to ways in which the business can implement and deliver new efficiency.

Key Requirements:

  •  ACT, ACA, ACCA, CIMA, CTA or other relevant finance / treasury


To succeed in the role you will be an experienced Treasury Manager with a track record of achievement in a similar role. Experience of working capital management and bank account management is essential as are strong communication and influencing skills.


On offer is an outstanding opportunity with a well-respected organization.