Group Treasury Manager 18 Month Contract
£Weybridge - Hybrid (2/3 days in office per week)
Are you an experienced accounting professional looking for a dynamic and diverse role within treasury management? This is an exciting opportunity to join our client, a nationally recognised construction company, in a position that plays a pivotal role in managing the group’s treasury operations and providing vital business insights to the board.
Reporting to the Group Financial Controller, this position will oversee, manage, and control all aspects of the company's treasury function, ensuring that both statutory and management reporting meet all internal and external requirements. Treasury Management :
Design, control, and review of the Group Treasury Manual.
Oversight and approval of all external payments through various systems and banks.
Management of external reporting for debt facilities with lenders.
Business engagement on treasury requirements and impacts on other projects.
Significant input into the production of consolidated statutory accounts, including disclosures, detailed working papers, and management of the group’s viability assessment.
Collaboration with divisional finance teams and auditors to resolve issues promptly.
Ad hoc financial analysis and project-based reporting for the board.
Primary control and approval of changes in supplier data in the ERP system (COINS).
Lead external reporting with bodies such as the Office for National Statistics.
Represent finance in group projects, ensuring financial requirements and critical review are considered.
We are looking for a proactive and technically strong finance professional who can demonstrate the following:
Qualified accountant with a strong background in technical accounting and treasury.
Solid IT skills, with advanced Excel proficiency preferred.
Experience with the COINS accounting system is advantageous.
The role offers a competitive day rate of £400 - £500. This is a hybrid role, with 2/3 days per week in the head office