At a Glance
- Tasks: Manage cash flow and working capital across multiple entities, ensuring financial efficiency.
- Company: Join the UK's largest online pharmacy, committed to patient care and colleague experience.
- Benefits: Enjoy competitive salary, flexible working, health insurance, and generous leave policies.
- Other info: Dynamic work culture with regular social events and career growth opportunities.
- Why this job: Make a real impact in a fast-growing company focused on digital healthcare innovation.
- Qualifications: Qualified Accountant or Treasury qualification with strong analytical skills required.
The predicted salary is between 65000 - 75000 £ per year.
Role: Cash & Working Capital Manager
Location: Leeds, LS15 8GB We operate a hybrid schedule, 2-3 days a week in the office based at Thorpe Park, Leeds.
Salary: £65,000 - £75,000 per annum DOE, plus up to a 10% discretionary annual bonus, plus extensive benefits
Working hours: Monday – Friday 37.5 hours per week. We work on a core hours principle. Our core hours are 09:30 - 16:00; you can work around these to suit you!
Do you want to work for the nation’s largest online pharmacy ensuring excellence for all our patients?
We’re a market leader in the pharmacy world, with 25 years’ experience, helping over 2 million patients in England manage their NHS prescriptions from request through to delivery.
We are Great Place to Work certified as we consider colleague experience a top priority every day, and as a certified B Corp we also meet high standards of social and environmental responsibility.
Our people are fundamental to our success and ensuring we achieve our vision to be a world leading, patient-centric digital healthcare provider.
We are committed to continuing to develop a positive, open and honest working environment for all.
The Cash & Working Capital Manager is responsible for overseeing cash management, liquidity and working capital performance across the Group.
This role will provide clear visibility of cash flow, banking arrangements, debt facilities and forecasting, ensuring the business maintains appropriate funding and meets its financial obligations.
Working closely with Finance, Commercial, Operations and senior stakeholders, the role will support effective cash management, drive improvements in working capital performance and provide insight to inform business decision-making.
This is a commercially focused position with a key role in supporting operational efficiency, financial resilience and the Group’s ongoing growth objectives.
Why you’ll love working with us
We believe great people deserve great support. That’s why we offer a benefits package designed to look after your health, finances, career and life outside work.
- Financial security & rewards
- Competitive contributory pension
- Occupational sick pay
- Long-service awards and refer-a-friend bonuses
- Professional registration fees covered (GPh C, NMC, CIPD and more)
- Cycle to Work and Green Car schemes (subject to eligibility)
- Family-friendly
- Enhanced maternity and paternity pay
- Flexible hybrid working to help balance work and home life
- Health & wellbeing
- Private healthcare insurance at discounted rates (Aviva)
- Employee Assistance Programme and in-house mental health support
- Access to discounted gym memberships via Blue Light Card and benefits schemes
- Regular health and wellbeing initiatives
- Career growth
- Strong commitment to CPD, training and professional development
- Time off & flexibility
- 25 days’ annual leave, increasing with service
- Buy and sell holiday scheme
- Everyday perks & exclusive discounts
- Blue Light Card and employee discount platform
- Exclusive discounts at The Springs, Leeds
- 25% off health & beauty purchases
- 25% off Pharmacy2U Private Online Doctor services
- Culture & community
- Regular social events throughout the year
What you’ll be doing?
- Manage cash management and working capital activities across multiple group entities and bank accounts.
- Prepare and maintain short-, medium- and long-term cash flow forecasts, providing visibility of group liquidity requirements.
- Monitor daily cash positions and support the effective deployment of cash across the Group.
- Maintain banking relationships, including oversight of bank accounts, mandates, signatories and online banking access controls.
- Support the management of debt facilities, including covenant monitoring and lender reporting requirements.
- Produce working capital reporting, dashboards and key performance indicators, including debtor days, creditor days, inventory days and cash conversion metrics.
- Work collaboratively with Finance, Commercial and Operations teams to identify opportunities to improve working capital performance.
- Provide regular cash flow and liquidity reporting, highlighting trends, risks and opportunities.
- Contribute to the development and enhancement of processes, controls and governance frameworks relating to cash management and working capital.
- Provide finance support to business projects, acquisitions and financing activities, ensuring cash management considerations are effectively incorporated.
Who are we looking for?
- Qualified Accountant (ACA, ACCA, CIMA) or Treasury qualification (ACT)
- Advanced Excel and financial reporting skills
- Strong commercial awareness with the ability to use financial and operational data to support decision-making
- Analytical and problem-solving skills, with the ability to identify opportunities and develop practical solutions
- Ability to work proactively, identify emerging requirements and take appropriate action
- Strong verbal and written communication skills with the ability to engage effectively with a range of stakeholders
- Effective planning and organisational skills, with the ability to manage competing priorities and deadlines.
- High level of accuracy and attention to detail
- Confidence to work independently while collaborating effectively with colleagues across the business.
- Curious and inquisitive mindset, with a willingness to challenge constructively and contribute to continuous improvement
- Significant experience in cash management, treasury or working capital-focused roles.
- Experience operating within a multi-entity group environment
- Strong understanding of banking arrangements, debt facilities and financing structures.
- Experience developing and maintaining cash flow forecasting models
- Experience managing banking relationships and online banking platforms
- Strong analytical, financial modelling and reporting capabilities
- Experience working with a broad range of stakeholders across Finance and operational teams
- Experience within a private equity-backed, acquisitive or fast-growing business desirable
Applicants must prove they have the right to live in the UK.
All successful applicants will be required to undergo a DBS check.
Unsolicited agency applications will be treated as a gift.
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Cash and Working Capital Manager in Leeds employer: Pharmacy2U Ltd
Pharmacy2U Ltd is an exceptional employer located in Leeds, offering a dynamic work environment that prioritises patient safety and team collaboration. With competitive pay, private healthcare, and a robust pension scheme, employees are supported in their professional growth while contributing to high-quality care. The company fosters a culture of teamwork and continuous improvement, making it an ideal place for those seeking meaningful and rewarding employment in the healthcare sector.