- Support the Group Treasury team and Head of Treasury in delivering services across the group and to external stakeholders
- Support day-to-day cash management, transactional activities, and banking needs
- Book daily cash journals and update weekly cash flow forecasts
- Update and manage filing systems
- Receive, check, collate, and obtain authorisation for payments from businesses
- Maintain intercompany loan information, documentation, approvals, and central records
- Set up payments and sign intercompany loan documentation
- Manage bank mandates and update central records
- Monitor the board calendar and communicate Treasury information to Company Secretarial
- Record hedge trades, maintain records, and liaise with the confirmations team to match trades with the bank
- Manage relationships with Legal, Company Secretarial, local Finance Managers, and relationship banks
- Operate the guarantee administration process for Trade Finance
- Support the Treasury Analyst with month-end accounting
- Provide cover for the Treasury Analyst and support ad-hoc activities and projects
Requirements
- A-levels or equivalent
- AAT is advantageous
- Desire to study (e.g. ACT or accounting qualification)
- Experience with Microsoft Office packages
- Experience of an office environment
- Adept written and verbal communication skills
- Highly motivated team-player
- Good communication skills
- Well organised
- Attention-to-detail
- Ability to work to tight deadlines, under pressure and prioritise workload
- Hands-on, proactive can-do attitude
Core Competencies
Demonstrates expertise in cash management, transactional activities, and banking operations while effectively managing relationships with stakeholders. Proficient in maintaining financial records and supporting treasury functions with strong organizational and communication skills.
Highest-signal resume keywords
- Cash Management
- Banking Operations
- Financial Record Maintenance
- Communication Skills
- Attention to Detail
Hard Skills
- Cash Flow Forecasting
- Payment Processing
- Intercompany Loan Management
- Hedge Trade Recording
- Microsoft Office
Soft Skills
- Written Communication
- Verbal Communication
- Team Player
- Organizational Skills
- Ability to Work Under Pressure
Certifications & Qualifications
- AAT
- ACT
Industry Keywords
- Treasury Management
- Trade Finance
- Office Environment
- Transactional Activities
- Stakeholder Management
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Treasury Assistant in Oxford employer: Jobtailor
As a Client Services Coordinator at our dynamic company, you will thrive in a supportive work culture that prioritises employee growth and development. We offer comprehensive training, opportunities for advancement, and a collaborative environment where your contributions are valued. Located in a vibrant area, our team enjoys a healthy work-life balance and the chance to engage with diverse clients, making every day rewarding and meaningful.