Head of Financial & Treasury Operations
Head of Financial & Treasury Operations

Head of Financial & Treasury Operations

London Full-Time 43200 - 72000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Lead financial operations and improve processes across Alfa's global finance team.
  • Company: Alfa provides industry-leading software for major clients like Mercedes-Benz and CarMax.
  • Benefits: Enjoy flexible working, 27 days leave, private health insurance, and gym access.
  • Why this job: Join a vibrant culture that values innovation, diversity, and work-life balance.
  • Qualifications: Qualified Accountant with 5-8 years of experience and strong leadership skills required.
  • Other info: Hybrid role with opportunities for remote work and team-building events.

The predicted salary is between 43200 - 72000 £ per year.

Head of Financial & Treasury Operations
Hybrid full-time role

Ready to do the best work of your life? Join us, and bring everything you have to solve the most fulfilling problems on the market. As a Gold accredited Investor in People we have everything you need to propel your career to new heights. Inclusion is the beating heart of Alfa so whoever you are, you can show up as your best self every day – be that from home, from our offices, or a little bit of both. We’ve got the tech, we’ve got the opportunities, all we’re missing is you.

Alfa is looking to recruit a Head of Financial & Treasury Operations as a Senior member of Alfa’s Group Finance team. The successful applicant will hold overall responsibility for providing oversight and ownership of the day-to-day key financial controls and transactional processes across Alfa Finance globally.

Leading communication to the business in relation to back-office Finance activities. An agent of change, driving process improvement and efficiency across Finance.

Managing & controlling the financial and treasury operations across the Group. Ensuring the accurate and efficient production of both financial and non-financial information for both external and internal reporting. Safeguarding the companies assets through efficient management of working capital.

Key responsibilities/activities:

Controls framework:

  • Implementing a strong controls framework across the Group, including US and APAC, and providing assurance to the Board on the effectiveness of those controls (Provision 29 of the Corporate Governance Code)

Treasury:

  • Liaison with banks
  • Ensuring sufficient liquidity to maintain operations
  • Placing money on deposit to maximise interest returns
  • Monitoring foreign currency exposure and making recommendations for reducing
  • Executing foreign exchange transactions, spot and forwards

Process & Continuous Improvement:

  • Leadership of projects which require operational guidance and system implementation rollout (working with Finance Information Systems)
  • Acts as an agent of change, playing a key role in improving business processes
  • Drive updates and improvements to accounting systems and processes

Workday – Effectiveness & Efficiency:

  • Responsible for ensuring Workday is operating effectively and efficiently, and fit for business needs
  • Owning the implementation of any necessary Workday process changes in conjunction with Finance Information Systems

Audit process:

  • Liaison with the internal and external auditors as required
  • Close liaison with the Group Reporting team throughout the half-year and year-end external reporting processes

Transactional Accounting:

  • Sales invoicing process from contract creation in Workday through to generation of the invoice
  • Accounts Receivable & cash collections
  • Responsible for Cash Management aspects of Treasury, including Daily cash reporting
  • Accounts Payable and related Procurement process
  • Payment practice reporting
  • Assist the Head of Tax with VAT returns, preparation of other corporate and payroll related tax calculations as required

Month-end process:

  • Cost accruals
  • Fixed assets
  • Responsibility for processing month-end transactions and reconciliations
  • Working with the Head of Group Reporting in presenting financial and non-financial reports to the CFO, other directors, stakeholders and board members
  • Intercompany Accounting including reviewing of financial information provided by overseas finance teams
  • Ownership of the balance sheet including understanding movements and forecasts and ensuring timely reconciliations
  • Time recording oversight and completeness review on behalf of the business
  • Ownership of and strong coordination across the month-end close procedures, ensuring timely completion and that the information produced is high quality

Cost control:

  • Managing and monitoring finance cost centres and providing accurate forecasts of spend
  • Responsible for London Office lease, Service Charge and Business rates

Other:

  • Comply with the information security roles and responsibilities as set out in Finance roles

We’re looking for someone who has:

  • Qualified Accountant with at least 5-8 years post qualification experience largely in industry
  • Experience of managing a team, including those overseas/remote
  • A sound understanding of accounting principles, the ability to carry out tasks collaboratively and autonomously and be highly organised with a keen eye for details
  • Strong written and verbal communication skills, with excellent problem-solving abilities
  • Track record of process improvement driven through strong utilisation of system capabilities

The following experience would be ideal, but not critical:

  • Working for a professional services firm
  • Working in the tech sector
  • Working for a publicly listed company
  • Exposure to Workday
  • Exposure to Treasury operations

What we’ll do for you:

  • Support you in flexible hybrid or remote working
  • 27 days’ annual leave plus bank holidays and flexible cultural days
  • Pension contribution match up to 6%
  • Provide private health insurance and access to private 24/7 online GP
  • Support you with enhanced maternity, paternity and adoption leave with family-friendly policies
  • Provide Income protection
  • Provide Life, disability and worldwide travel insurance
  • Offer interest-free loans of up to £10,000 after probation period
  • Offer Gympass given access to a range of health and wellbeing gyms, classes and apps

About Alfa:
We bring our industry-leading software platform to the likes of Mercedes-Benz and CarMax, so they can do business globally. Supporting all types of auto, equipment and wholesale finance business, our software platform uses a modern technology stack to deliver proven functionality and performance. Our customers use Alfa Systems for the full lifecycle, from point of sale, through originations, to contract management and remarketing. Alfa Systems manages complex leases and loans, in any region, language and currency in a highly available, high-throughput system.

Culture:
Our culture is vibrant, innovative and diverse, and we are proud of it. Ours is a close-knit community. Alfa employees are an eclectic mix and all are creative, talented and hardworking. We think it is important to build close working relationships within our company, so we hold numerous team events and conferences that bring us together for socialising and team building. We all enjoy the work-life balance and the great culture, with plenty of social activities organised by the company.#J-18808-Ljbffr

Head of Financial & Treasury Operations employer: Alfa Financial Software Limited

At Alfa, we pride ourselves on being an exceptional employer, offering a vibrant and inclusive work culture that empowers you to bring your best self to work every day. With flexible hybrid working options, generous annual leave, and a comprehensive benefits package including private health insurance and family-friendly policies, we are committed to supporting your personal and professional growth. Join us in our London office, where you'll collaborate with a talented team and have the opportunity to drive meaningful change in financial and treasury operations across a global platform.
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Contact Detail:

Alfa Financial Software Limited Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Head of Financial & Treasury Operations

✨Tip Number 1

Familiarize yourself with the key responsibilities outlined in the job description. Understanding the nuances of financial controls, treasury operations, and process improvement will help you articulate your relevant experience during discussions.

✨Tip Number 2

Network with current or former employees of Alfa to gain insights into the company culture and expectations for the Head of Financial & Treasury Operations role. This can provide you with valuable context that you can leverage in your conversations.

✨Tip Number 3

Prepare to discuss specific examples of how you've driven process improvements in previous roles. Highlighting your ability to implement changes effectively will resonate well with the company's focus on efficiency and innovation.

✨Tip Number 4

Showcase your understanding of Workday and treasury operations, as these are mentioned as ideal experiences. If you have any certifications or training related to these areas, be sure to mention them during your interactions.

We think you need these skills to ace Head of Financial & Treasury Operations

Qualified Accountant
Financial Controls Management
Team Leadership
Accounting Principles
Process Improvement
Strong Communication Skills
Problem-Solving Abilities
Cash Management
Accounts Receivable and Payable
Month-End Close Procedures
Financial Reporting
Workday Proficiency
Treasury Operations Knowledge
Attention to Detail
Project Management
Stakeholder Engagement

Some tips for your application 🫡

Tailor Your CV: Make sure your CV highlights relevant experience in financial and treasury operations. Emphasize your qualifications as an accountant and any leadership roles you've held, especially in managing teams.

Craft a Compelling Cover Letter: In your cover letter, express your passion for process improvement and efficiency in finance. Mention specific examples of how you've driven change in previous roles and how that aligns with Alfa's goals.

Showcase Communication Skills: Since strong written and verbal communication skills are crucial for this role, provide examples in your application of how you've effectively communicated complex financial information to various stakeholders.

Highlight Relevant Software Experience: If you have experience with Workday or similar financial systems, make sure to include that in your application. Discuss how you've utilized technology to enhance financial processes and reporting.

How to prepare for a job interview at Alfa Financial Software Limited

✨Showcase Your Leadership Skills

As a Head of Financial & Treasury Operations, you'll be expected to lead a team and drive process improvements. Be prepared to discuss your previous leadership experiences, how you've managed teams, and the impact of your leadership on operational efficiency.

✨Demonstrate Your Technical Knowledge

Familiarize yourself with financial controls, treasury operations, and accounting principles. Be ready to discuss specific examples of how you've implemented systems like Workday or improved financial processes in your past roles.

✨Communicate Clearly and Effectively

Strong communication skills are crucial for this role. Practice articulating complex financial concepts in a clear and concise manner, as you will need to liaise with various stakeholders, including auditors and board members.

✨Prepare for Behavioral Questions

Expect questions that assess your problem-solving abilities and adaptability. Use the STAR method (Situation, Task, Action, Result) to structure your responses, highlighting how you've successfully navigated challenges in previous positions.

Head of Financial & Treasury Operations
Alfa Financial Software Limited
A
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