Hybrid Treasury Manager: Debt & Liquidity Strategy in London
Hybrid Treasury Manager: Debt & Liquidity Strategy

Hybrid Treasury Manager: Debt & Liquidity Strategy in London

London Full-Time 60000 - 80000 £ / year (est.) Home office (partial)
British Land Company

At a Glance

  • Tasks: Manage treasury operations and support debt strategy and liquidity management.
  • Company: British Land Company, a leading property development firm in Greater London.
  • Benefits: Hybrid working model, excellent exposure to treasury activities, and professional growth opportunities.
  • Why this job: Join a dynamic team and make a significant impact on financial strategies.
  • Qualifications: Professional qualification (ACA, CFA, ACT) and strong financial modelling skills.

The predicted salary is between 60000 - 80000 £ per year.

British Land Company in Greater London is seeking a Treasury Manager to support the Group’s debt strategy and liquidity management. This role will involve managing treasury operations and contributing to risk management.

Ideal candidates will hold a professional qualification (ACA, CFA, ACT or equivalent) and possess strong skills in financial modelling and Treasury Management Systems.

The role offers a hybrid working model, requiring 4 days in the office and provides excellent exposure across various treasury activities.

Hybrid Treasury Manager: Debt & Liquidity Strategy in London employer: British Land Company

British Land Company is an exceptional employer, offering a dynamic work environment in Greater London that fosters professional growth and development. With a strong emphasis on employee well-being, the company provides a hybrid working model, allowing for flexibility while ensuring meaningful engagement in treasury operations. Employees benefit from exposure to diverse treasury activities and opportunities to enhance their skills in a supportive culture that values collaboration and innovation.
British Land Company

Contact Detail:

British Land Company Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Hybrid Treasury Manager: Debt & Liquidity Strategy in London

✨Tip Number 1

Network like a pro! Reach out to professionals in the treasury field on LinkedIn or at industry events. We can’t stress enough how valuable personal connections can be in landing that Treasury Manager role.

✨Tip Number 2

Prepare for those interviews! Brush up on your financial modelling skills and be ready to discuss your experience with Treasury Management Systems. We recommend practising common interview questions related to debt strategy and liquidity management.

✨Tip Number 3

Showcase your qualifications! If you’ve got an ACA, CFA, or ACT under your belt, make sure to highlight these in conversations. We want to see how your professional background aligns with the needs of British Land Company.

✨Tip Number 4

Don’t forget to apply through our website! It’s the best way to ensure your application gets noticed. We’re here to help you navigate the process and land that hybrid Treasury Manager position.

We think you need these skills to ace Hybrid Treasury Manager: Debt & Liquidity Strategy in London

Debt Strategy Management
Liquidity Management
Treasury Operations
Risk Management
Financial Modelling
Treasury Management Systems
Professional Qualification (ACA, CFA, ACT or equivalent)
Hybrid Working Model Adaptability

Some tips for your application 🫡

Tailor Your CV: Make sure your CV highlights your experience in treasury operations and risk management. We want to see how your skills align with our needs, so don’t be shy about showcasing your professional qualifications like ACA, CFA, or ACT.

Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why you’re the perfect fit for the Hybrid Treasury Manager role. Share specific examples of your financial modelling expertise and how you've successfully managed liquidity strategies in the past.

Showcase Your Skills: We’re looking for strong skills in Treasury Management Systems, so make sure to mention any relevant software you’ve used. Highlighting your technical abilities will help us see how you can contribute to our team right from the start.

Apply Through Our Website: Don’t forget to apply through our website! It’s the best way for us to receive your application and ensures you’re considered for the role. Plus, it gives you a chance to explore more about what we do at British Land Company.

How to prepare for a job interview at British Land Company

✨Know Your Treasury Fundamentals

Make sure you brush up on your knowledge of debt strategy and liquidity management. Understand the key concepts and current trends in treasury operations, as this will help you answer technical questions confidently.

✨Showcase Your Financial Modelling Skills

Prepare to discuss your experience with financial modelling. Bring examples of models you've built or worked on, and be ready to explain your thought process and how they contributed to decision-making in previous roles.

✨Familiarise Yourself with Treasury Management Systems

Research the Treasury Management Systems commonly used in the industry. If you have experience with specific systems, be prepared to discuss how you've utilised them to enhance treasury operations and risk management.

✨Emphasise Your Professional Qualifications

Highlight your professional qualifications like ACA, CFA, or ACT during the interview. Be ready to explain how your education has equipped you with the skills necessary for the role and how it aligns with British Land Company's objectives.

Hybrid Treasury Manager: Debt & Liquidity Strategy in London
British Land Company
Location: London

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