Treasury and Credit Analyst

Treasury and Credit Analyst

City of London Full-Time 36000 - 60000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Join our finance team as a Treasury and Credit Analyst, managing cash flow and credit risk.
  • Company: Charlotte Tilbury is a revolutionary beauty brand known for its innovative products and rapid growth.
  • Benefits: Enjoy a dynamic work environment with opportunities for personal and professional growth.
  • Why this job: Be part of a global sensation in the beauty industry, contributing to exciting financial strategies.
  • Qualifications: Ideal candidates are part-qualified in treasury and have experience in cash management and credit analysis.
  • Other info: Join a vibrant team that embraces challenges and values collaboration.

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

Overview

Charlotte Tilbury are on the hunt for a Treasury and Credit Analyst to join our growing Group Finance team. As a Treasury and Credit Analyst supporting the Treasury and Credit Manager, you will play a crucial role in ensuring the efficient operation of the treasury and credit functions within Charlotte Tilbury. Your responsibilities will include assisting with cash management, credit analysis, and financial reporting. You will work closely with the Treasury and Credit Manager to monitor cash flow, manage credit risk, and support the development and implementation of financial strategies. This role requires strong analytical skills, attention to detail, and the ability to work collaboratively in a fast-paced environment.

Responsibilities

  • Cash Flow Management, Forecasting and Reporting
  • Monitor daily cash balances across pooled and non-cash pooled bank accounts, escalating any usual balances and/or transactions.
  • Prepare and analyse the Group\’s weekly actual cash reporting and rolling cash flow forecast, across multiple entities and currencies.
  • Actualise and maintain the forecast inputs for the Group Cash flow model, liaising with the respective internal function to ensure data is updated and accurate.
  • Cash Pooling and Payment Planning – Liaise with the Group Financial Shared Services team and align on funding requirements across pooled and non-cash pooled currencies, proposing funding recommendations which include selling and purchasing multiple foreign currencies and intercompany settlements.
  • Prepare payment requests for intercompany settlements, currency purchases and any other irregular payment types (Dividend, Share Capital etc).
  • Bank Account Administration – Administrate the Group\’s bank accounts primarily on HSBCnet and/or other banking platforms, maintaining / updating user access and permissions, liaise as directed with the banks on all bank related matters.
  • Ensure all internal and external banking documents, renewals, approvals and signatory requirements are planned in advance to ensure timely approval and execution.
  • Develop and maintain an effective working relationship with the corporate banks and parent cash treasury functions, ensure clear lines of communication and collaboration.
  • Share Capital, Dividend and Debt Management – Administer any 3rd party Debt agreement, ensuring any reporting and compliance obligation are performed timely and interest and related charges are appropriate accounted.
  • Credit Risk Management – Support the preparation of any claims and/ or notification to the Groups credit insurers, ensuring accuracy and completeness of information.
  • Prepare monthly credit insurance declarations, track and reconcile credit insurance invoices and charges.
  • Work with regional teams and functions to support the preparation of credit limit extension requests, providing credit insurance insights and D&B ratings.
  • Support in preparation of Global ADR summary, leveraging on data and comments from regional teams.
  • Other – Provide recommendations for improvements to internal processes and accounting procedures.
  • Other ad-hoc tasks as required.

Qualifications

  • Part qualified / studying towards Certified Treasury Professional (CTP).
  • Demonstrable understanding of treasury fundamentals.
  • Proven relevant cash/ credit experience, working in a multi-currency environment.
  • Experience in Group Cash Pooling, intercompany process and group funding processes.
  • Experienced global bank account platform administration.
  • Strong bank relationship management capability.
  • Practical experience in managing periodic activities of 3rd party insurance companies and brokers providing coverage for uncollectible customer invoices is desirable.
  • Experience in managing global process development, credit, collections, and projects in an MNC environment is desirable.
  • Experience in the Luxury sector and/or FMCG is desirable.
  • Deadline oriented with a commitment to accuracy.
  • Good time management and organisational skills; keen attention to detail; independent thinker and driven to achieve best results.
  • Intermediate MS Excel and ERP systems skills; NetSuite experience is desirable.
  • Excellent communication skills; ability to prioritise and provide follow up in a fast-paced environment.

About Charlotte Tilbury

Founded by British makeup artist and beauty entrepreneur Charlotte Tilbury MBE in 2013, Charlotte Tilbury Beauty has revolutionised the face of the global beauty industry by de-coding makeup applications for everyone, everywhere, with an easy-to-use, easy-to-choose, easy-to-gift range. Today, Charlotte Tilbury Beauty continues to break records across countries, channels, and categories and to scale at pace.

Over the last 10 years, Charlotte Tilbury Beauty has experienced exceptional growth and is one of the most talked about brands in the beauty industry and beyond. It has become a global sensation across 50 markets (and growing), with over 2,300 employees globally who are part of the Dream Team making the magic happen.

Today, Charlotte Tilbury Beauty is a truly global business, delivering market-leading growth, innovative retail and product launches fuelled by industry-leading tech – all with an internal culture of embracing challenges, disruptive thinking, winning together, and sharing the magic. The energy behind the brand is infectious, and as we grow, we are always looking for extraordinary talent who want to be part of this our success and help drive our limitless ambitions.

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Treasury and Credit Analyst employer: Charlotte Tilbury

Charlotte Tilbury is an exceptional employer that fosters a vibrant and inclusive work culture, where creativity and collaboration thrive. As part of our Group Finance team, you will benefit from professional growth opportunities in a fast-paced environment, while contributing to the success of a globally renowned beauty brand. With a commitment to innovation and employee development, we offer a dynamic workplace that empowers you to make a meaningful impact.
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Contact Detail:

Charlotte Tilbury Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Treasury and Credit Analyst

✨Tip Number 1

Familiarise yourself with the specific treasury and credit functions mentioned in the job description. Understanding cash management, credit analysis, and financial reporting will help you speak confidently about your relevant experience during interviews.

✨Tip Number 2

Network with professionals in the finance sector, especially those who work in treasury roles. Engaging with them on platforms like LinkedIn can provide insights into the company culture at Charlotte Tilbury and may even lead to referrals.

✨Tip Number 3

Stay updated on the latest trends in treasury management and credit risk. Being knowledgeable about current practices and technologies can set you apart as a candidate who is proactive and well-informed.

✨Tip Number 4

Prepare to discuss your experience with multi-currency environments and bank relationship management. Highlighting specific examples of how you've successfully navigated these areas will demonstrate your suitability for the role.

We think you need these skills to ace Treasury and Credit Analyst

Cash Management
Credit Analysis
Financial Reporting
Analytical Skills
Attention to Detail
Multi-Currency Experience
Group Cash Pooling
Intercompany Processes
Bank Account Administration
Relationship Management
Credit Risk Management
MS Excel
ERP Systems
Time Management
Organisational Skills
Communication Skills

Some tips for your application 🫡

Tailor Your CV: Make sure your CV highlights relevant experience in treasury and credit analysis. Emphasise your analytical skills, attention to detail, and any experience with cash management or financial reporting.

Craft a Strong Cover Letter: In your cover letter, express your enthusiasm for the role at Charlotte Tilbury. Mention specific responsibilities from the job description that excite you and how your background aligns with their needs.

Highlight Relevant Qualifications: Clearly state your qualifications, especially if you are part qualified or studying towards Certified Treasury Professional (CTP). Include any experience with multi-currency environments and bank relationship management.

Showcase Soft Skills: Charlotte Tilbury values collaboration and communication. Highlight examples of how you've worked effectively in teams and managed time in fast-paced environments, demonstrating your ability to thrive under pressure.

How to prepare for a job interview at Charlotte Tilbury

✨Understand the Role

Make sure you have a solid grasp of the responsibilities outlined in the job description. Familiarise yourself with cash management, credit analysis, and financial reporting, as these are key areas for the Treasury and Credit Analyst position.

✨Showcase Analytical Skills

Prepare to demonstrate your analytical skills during the interview. You might be asked to solve problems or analyse data on the spot, so practice explaining your thought process clearly and concisely.

✨Highlight Relevant Experience

Be ready to discuss your previous experience in treasury functions, especially in a multi-currency environment. Share specific examples of how you've managed cash flow or credit risk in past roles to illustrate your capabilities.

✨Ask Insightful Questions

Prepare thoughtful questions about the company's treasury operations and how they align with their growth ambitions. This shows your genuine interest in the role and helps you understand if it's the right fit for you.

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