At Tesco, we believe in the power of spending more time together, face to face, than apart. So, during your working week, you can expect to spend 60% of your time in one of our office locations or local sites and the rest remotely. We also recognise that life looks a little different for each of us. Some people are at the start of their careers, some want the freedom to do the things they love. Others are going through life-changing moments like becoming a carer, nearing retirement, adapting to parenthood, or something else. That’s why at Tesco, we always welcome a conversation about flexible working. So, talk to us throughout your application about how we can support. In this role you will support the Group Treasurer in shaping and implementing the Group's funding strategy and ensuring that balance sheet and credit implications of business plans and performance are understood. Executing and delivering on successful capital markets funding strategies Managing and establishing strong relationships with relationship banks, rating agencies and debt investors Ensuring that there is a clear understanding of the liquidity and debt position, and that funding and balance sheet implications are factored into planning and decision-making Managing interest rate risk across the debt portfolio Developing in depth knowledge within the team to understand the rating agency methodologies and processes and enabling the team to translate our business plans in to forecast credit rating projections. Developing and leading a high performing team, giving them the opportunities to be their best Following our Business Code of Conduct and always acting with integrity and due diligence Forecasting and managing my budgets effectively, always being cost conscious. Significant experience in corporate treasury or financial services. Relevant professional qualification (AMCT) Experience in debt capital markets / funding execution a must Experience in corporate financial analysis LI-Hybrid LI-MW1