Treasury Manager - Michael Page Finance : Job Details

Treasury Manager

Michael Page Finance

Job Location : London, UK

Posted on : 20/08/2025 - Valid Till : 03/09/2025

Job Description :

This is a high-profile role managing the Group's debt, hedging, and cash operations, while driving treasury systems, reporting, and compliance. The role combines technical treasury expertise with project management and offers exposure to a complex debt and derivatives portfolio.

Client Details

Our client is a UK property group with a multi-billion-pound debt platform and complex treasury operations spanning cash management, debt financing, and risk management.

Description

  • Manage Group cash operations: cash-flow forecasting, investments, RCF drawdowns/repayments, and banking administration.
  • Support the development and execution of the Group's Risk Management Strategy, including interest rate and FX hedging.
  • Oversee derivative execution, valuation, settlements, and regulatory changes (e.g. LIBOR transition).
  • Own and develop the Treasury Management System (TMS), ensuring accurate records and reporting.
  • Lead monthly Treasury Reports, quarterly reconciliations, hedge accounting documentation, and debt-related disclosures.
  • Ensure covenant compliance, statutory reporting, and ISDA documentation are up to date.
  • Liaise with auditors, banks, and internal stakeholders to deliver accurate reporting and effective controls.
  • Provide insights on market developments and new hedging ideas to optimise funding costs.
  • Drive treasury-related change projects, from system enhancements to new product implementation.
  • Support the sustainability agenda by aligning treasury activity with corporate ESG objectives.
  • Mentor and support junior members of the team, building future capability.
  • Act as a trusted adviser to senior management on treasury risk, debt structure, and funding strategies.

Profile

A successful Treasury Manager should have:

  • Relevant Qualification or equal amount of experience (ACT, ACA, ACCA, CFA or similar).
  • Strong background in treasury.
  • Excellent attention to detail and ability to meet deadlines.
  • Strong Excel and Microsoft Office skills.
  • (Desirable) UK corporate treasury experience, knowledge of derivatives/hedging, and exposure to Bloomberg or treasury systems.

Job Offer

  • A competitive salary in the range of £65,000 to £75,000 per annum, plus 25% bonus.
  • Permanent role within a reputable organisation in London.
  • Opportunities to work within the Treasury department of a leading property company.
  • Hybrid working, 3 days in the office.
  • Comprehensive benefits package to be discussed during the interview process.

If you are ready to take the next step in your career as a Treasury Manager, apply now to join this exciting opportunity in London.

Salary : 65000 - 75000

Apply Now!

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