Treasury Reporting Manager

Treasury Reporting Manager

Full-Time 36000 - 60000 £ / year (est.) Home office (partial)
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At a Glance

  • Tasks: Lead treasury reporting and manage working capital for a dynamic finance team.
  • Company: Join Bellrock Group, a forward-thinking company with a passion for people.
  • Benefits: Enjoy flexible working, 25 days leave, health cover, and more perks.
  • Why this job: Make a real impact in treasury management while growing your career.
  • Qualifications: Experience in treasury management and strong analytical skills required.
  • Other info: Hybrid working model with opportunities for professional development.

The predicted salary is between 36000 - 60000 £ per year.

Bellrock Group is searching for an experienced Treasury Reporting Manager to join the team. With a strong analytical lens, you will be responsible for leading on the treasury requirements of the organisation and ensuring a robust control framework and systems are in place and documented. You will also have responsibility for managing working capital levels, and reporting on KPIs such as cash collection targets, to ensure we meet bank covenants. This role is integral to our finance team, providing analytical expertise in treasury management within a traditional private equity buy-and-build business environment.

Key responsibilities:

  • Working Capital reporting and analytical insight to finance, the wider business and external stakeholders.
  • Cash flow forecasting, both short and long term.
  • Manage and oversee the company's treasury functions, including cash flow, funding, and debt management.
  • Setting targets for credit controllers and budgets to supply chain, to ensure DSO and DPO targets are managed.
  • Ensure compliance with financial regulations and standards in all areas of treasury management.
  • Work closely with senior finance leaders to align treasury activities with the overall financial strategy.
  • Maintain relationships with external banking partners.
  • Oversight of banking systems, administration and access.
  • Ensuring compliance with delegation of authority.
  • Leading a team of one Treasury analyst and supporting their development.

Skills & experience:

  • Excellent analytical and strategic planning skills, with strong experience in ownership of short term cash flow forecasting models and working capital metrics.
  • Proven experience as a Treasury Manager with hands on cash flow management, preferably within a high-growth or private equity-backed environment.
  • Data analytics and visualisation experience, including high level excel skills and use of Power BI.
  • Strong understanding of treasury operations, including experience managing debt and bank covenants.
  • Professional finance or treasury qualification (ACT, ACCA, CIMA, or ACA) is desirable.
  • Experience in team leadership and developing others.
  • Enthusiastic, driven and self-motivated.
  • Excellent communication, presentation and interpersonal skills are essential.

Working arrangements:

We embrace smarter working practices which offer our employees the opportunity to work their hours flexibly and remotely where their roles and business needs allow. In this role, the successful candidate would be required to work from the Leicester office two days per week, with the rest being worked from home.

What can we offer you?

  • 25 days annual leave plus bank holidays + 1 additional day as a thank you (enjoy it, it’s on us)
  • Salary exchange pension scheme
  • Life cover
  • Paid sick leave
  • Health Assured employee assistance and wellness program
  • Enhanced maternity, paternity and adoption leave
  • Salary sacrifice schemes: Cycle to work
  • Private medical insurance
  • Holiday purchase scheme of additional 5 days per year
  • Offers and discount scheme designed to save money on everyday shopping and essentials
  • Healthcare Cashplan
  • MotorSave Scheme
  • Refer a friend
  • Liftshare
  • Virtual GP

Why Bellrock?

Our people are our passion, so we’re all about helping them to achieve their ambitions. That means putting everything in place for you to have a rewarding career with us. So you can go far in your career, with us behind you. And our business will grow, too. So, if you’re ready to start your career journey with Bellrock we’re ready to welcome you. It’s a great place to be. We would like to attract talent from all corners of the world for this role. Our commitment is to an equitable recruitment process so feel free to apply in any way that suits you. We are looking for the right person, not necessarily just the right person for this role.

Treasury Reporting Manager employer: Bellrock Property and Facilities Management

At Bellrock Group, we pride ourselves on being an exceptional employer, offering a dynamic work culture that fosters professional growth and development. With hybrid working arrangements, competitive benefits including enhanced leave options and wellness programmes, and a commitment to employee ambitions, we create an environment where you can thrive both personally and professionally in the heart of Leicester.
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Contact Detail:

Bellrock Property and Facilities Management Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Treasury Reporting Manager

✨Tip Number 1

Network like a pro! Reach out to your connections in the finance world, especially those in treasury roles. A friendly chat can lead to insider info about job openings or even a referral.

✨Tip Number 2

Prepare for interviews by brushing up on your analytical skills and understanding of cash flow management. Be ready to discuss your experience with KPIs and how you've tackled treasury challenges in the past.

✨Tip Number 3

Showcase your leadership skills! If you’ve managed teams before, be sure to highlight how you’ve developed others and aligned their goals with the overall financial strategy.

✨Tip Number 4

Don’t forget to apply through our website! It’s the best way to ensure your application gets noticed. Plus, we love seeing candidates who are proactive about their job search.

We think you need these skills to ace Treasury Reporting Manager

Analytical Skills
Cash Flow Forecasting
Working Capital Management
Treasury Operations
Data Analytics
Excel Skills
Power BI
Debt Management
Bank Covenant Compliance
Team Leadership
Communication Skills
Presentation Skills
Interpersonal Skills
Strategic Planning

Some tips for your application 🫡

Tailor Your CV: Make sure your CV speaks directly to the Treasury Reporting Manager role. Highlight your analytical skills and experience in cash flow management, as these are key for us. Use specific examples that showcase your achievements in treasury functions.

Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Tell us why you're passionate about treasury management and how your background aligns with our needs. Be sure to mention your experience with KPIs and working capital reporting, as this will resonate with us.

Showcase Your Analytical Skills: Since this role requires strong analytical expertise, don’t shy away from sharing your experience with data analytics and visualisation tools like Excel and Power BI. We want to see how you’ve used these skills to drive results in previous roles.

Apply Through Our Website: We encourage you to apply through our website for a smoother application process. It’s the best way for us to receive your application and ensures you’re considered for the role. Plus, it shows us you’re keen on joining our team!

How to prepare for a job interview at Bellrock Property and Facilities Management

✨Know Your Numbers

As a Treasury Reporting Manager, you'll need to demonstrate your analytical skills. Brush up on key financial metrics like cash flow forecasts and working capital levels. Be ready to discuss how you've managed these in previous roles, as this will show your expertise and confidence.

✨Showcase Your Leadership Skills

Since you'll be leading a team, it's crucial to highlight your experience in team management. Prepare examples of how you've developed others in your past roles. This could include mentoring a junior analyst or leading a project that required collaboration across departments.

✨Understand the Business Environment

Familiarise yourself with the private equity landscape and how it impacts treasury functions. Be prepared to discuss how you can align treasury activities with the overall financial strategy of the organisation. This shows that you’re not just a numbers person but also understand the bigger picture.

✨Prepare for Compliance Questions

Compliance is key in treasury management. Review relevant financial regulations and standards, and think about how you've ensured compliance in your previous roles. Being able to articulate your approach to maintaining a robust control framework will impress your interviewers.

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