Posted Date 2 weeks ago (09/09/2024 09:13)
Job ID 2024-5310
# of Openings 1
Category Accounting/Finance
Overview
Nomad Foods is a leading frozen foods company with Revenues of c.$3b. Nomad Foods has built a global portfolio of best-in-class food companies and brands within the frozen food category and across the border food sector. Nomads Foods portfolio of well-known brands includes Birdseye, Findus, igloo, Aunt Bessie’s and Goodfella’s. The Head Office is based in Bedfont, Feltham, Greater London.
The Group Treasury is a dynamic Team organised into a Front and Back-office structure with a treasury accounting and reporting function. The treasury team works on the basis of a flexible Hybrid solution, 2 days per week in Woking office ensuring face to face interaction other team members, other Head Office functions, banking relationship meetings or on an “as needs” basis.
Reporting to Assistant Group Treasurer, the individual will be required to be involved in a varied range of activities covering all aspects of treasury management, including daily cash liquidity, forecasting, debt, and FX risk management, all under a SOX control umbrella as a result of Nomads NYSE listing.
As part of the wider Business transformation project (and treasury transformation within it), the Nomad Treasury team is implementing a new TMS S/4 Hana. This role will be required to ensure stability of operation during that period, whilst also being expected to be part of the change in ways of working / TMS development.
Responsibilities
· Daily liquidity management of Group cash and global cash repatriation ensuring appropriate level of funding for all currencies.
· Overseeing cash and liquidity management through cash flow planning and forecasting, working with markets to understand trends and propose investment decisions of surplus funds.
· Key contributor to Group Treasury projects, including Implementation of new TMS S/4 Hana, IHB Implementation and setting up new cash concentration structures in different jurisdictions.
· Support FX forecasting process and executing FX transaction hedging
· Monthly treasury management and financial reporting
· Management of current bank account structures, cash pool reporting and arrangements
· Maintain Sarbanes-Oxley requirements and support both internal and external audit requirements and walkthroughs
· Support development of treasury policies and ways of working
· Integration of acquired business on Adriatic’s region
· Support all statutory reporting (6-k, 20-F) including preparation of treasury related notes and disclosures
· Streamline and improve treasury processes and report that increase efficiency, controls and accuracy of information.
· Support and develop Front Office Junior Treasury Analyst
Qualifications
· Treasury qualified preferable AMCT/part qualified ACCA/CIMA with interest on Treasury Qualification
· Minimum of 4-5 years Treasury experience. Experience in Front Office.
· Management experience
· Solid [all round] technical Treasury skills
· Liquidity and Investment decisions
· TMS experience and Implementation
· Experience in FX Risk, hedging and trading platforms.
· Proactive / high levels of initiative
· High attention to detail
· Willingness to ‘roll ones sleeves up’
· Ability to manage a varied workload to tight deadlines
Sorry the Share function is not working properly at this moment. Please refresh the page and try again later.
#J-18808-Ljbffr