At a Glance
- Tasks: Manage cash operations and client fund processes in a dynamic treasury environment.
- Company: Join Travelex, a leading foreign exchange specialist focused on innovation and customer experience.
- Benefits: Enjoy a diverse workplace with opportunities for growth and remote work options.
- Why this job: Be part of a team shaping the future of FX and international payments while making a real impact.
- Qualifications: 5 years in a corporate environment with treasury cash management experience preferred.
- Other info: We value diversity and are committed to equal opportunity for all applicants.
The predicted salary is between 43200 - 72000 £ per year.
Overview
Role Title: Treasury Cash Manager
Reports to: Head of Treasury Front Office
Location: Peterborough
Role purpose
The job holder will report directly to the Head of Treasury Front Office providing support for the cash management of the wholesale banknote business, including clients fund accounts and leasing operations.
Responsibilities
- Day to day management of the processing of client stock
- Management and authorisation of customer payments
- Ongoing maintenance of the Treasury Management System to ensure alignment with bank accounts
- Co-ordination between vault team, operations and Treasury to ensure compliance in all aspects of the client fund process
- Day to day management of the cash leasing operation
- Oversee the life of a wholesale banknote transaction
- Provide ongoing support with the relevant systems to improve functionality
Key accountabilities
- Day to day management of the client fund processes
- Become SME in the client fund process
- Ensure all systems involved are aligned on a daily basis
- Daily co-ordination with all operational parts of the cash and stock management process
- Responsibility for the cash management process.
Experience and personal qualities
The role requires a range of technical and operational business management skills, with an ability to facilitate discussions, develop initiatives, and to operate effectively to drive efficient performance.
Experience should include:
- A good understanding in Treasury cash management (managing client funds would be beneficial)
- Knowledge and experience of using a TMS and associated systems.
- Understanding of how movement of vault stock influences liquidity
- Excellent analytical and communication abilities to support the business understanding of the FX landscape.
- Ability to project manage and deliver global projects and initiatives
Key skills / Capabilities
- 5 years working in a multi-national corporate environment.
- A flexible, dynamic, and positive approach, with excellent business partnership skills who is able to to work across organisational boundaries
- Tenacity, drive, the ability to operate and make key decisions effectively in a demanding environment and able to provide constructive challenge.
- Comprehensive attention to detail with the ability to articulate key performance drivers.
- A willingness to get into the detail, coupled with experience and skills to work with remote teams in support of the wider Treasury Function.
- Excellent interpersonal, communication and presentation skills.
- Strong relationship building skills, being able to liaise effectively with both finance and non-finance professionals
- Proven ability to lead their area of expertise, focusing on results, proactively solving problems and supporting the business with solutions
- Self-aware, open-minded with a high degree of personal and professional integrity
Why Travelex?
To remain the world\’s leading foreign exchange specialist, we are focused on making our customers\’ lives simpler, more engaging and hassle free while they travel or move money abroad. We promise to give them the freedom and peace of mind to explore the world, their way – enabling them to travel confidently because they know they have us to lean on.
Customer centricity and digital are at the heart of our business strategy. Our commitment to innovation has never been greater, with the development of a number of digital-first, greenfield products and services. And with the Travelex\’s resources, deep industry experience and leading brand we are inventing the future of FX, cross-border e-commerce, and international payments. We are an equal opportunity employer and value diversity at our company.
We do not discriminate on the basis of race, religion, colour, national origin, gender, sexual orientation, age, marital status, veteran status, or disability status.
#J-18808-Ljbffr
Treasury Cash Manager employer: Retail Human Resources plc
Contact Detail:
Retail Human Resources plc Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Treasury Cash Manager
✨Tip Number 1
Familiarise yourself with Treasury Management Systems (TMS) and their functionalities. Understanding how these systems work will not only help you in the interview but also demonstrate your proactive approach to mastering the tools essential for the role.
✨Tip Number 2
Brush up on your knowledge of cash management processes, especially in relation to client funds. Being able to discuss specific examples of how you've managed or improved these processes in previous roles can set you apart from other candidates.
✨Tip Number 3
Network with professionals in the treasury and finance sectors. Engaging with others in the field can provide insights into current trends and challenges, which you can reference during your discussions with us.
✨Tip Number 4
Prepare to showcase your analytical skills by discussing past experiences where you've used data to drive decisions. Highlighting your ability to interpret financial information will resonate well with our focus on performance and results.
We think you need these skills to ace Treasury Cash Manager
Some tips for your application 🫡
Understand the Role: Before applying, make sure to thoroughly understand the responsibilities and requirements of the Treasury Cash Manager position. This will help you tailor your application to highlight relevant experience.
Tailor Your CV: Customise your CV to reflect your experience in treasury cash management and any relevant systems you've used. Highlight specific achievements that demonstrate your analytical and communication skills.
Craft a Compelling Cover Letter: Write a cover letter that connects your background to the key accountabilities of the role. Emphasise your ability to manage client funds and your experience in a multi-national corporate environment.
Showcase Your Skills: In your application, clearly showcase your interpersonal and relationship-building skills. Provide examples of how you've successfully collaborated with finance and non-finance professionals in previous roles.
How to prepare for a job interview at Retail Human Resources plc
✨Understand the Treasury Cash Management Landscape
Make sure you have a solid grasp of treasury cash management principles, especially how they relate to client funds. Be prepared to discuss your experience in managing these processes and how you've ensured compliance in previous roles.
✨Familiarise Yourself with TMS Systems
Since the role involves ongoing maintenance of the Treasury Management System, it’s crucial to demonstrate your knowledge and experience with TMS and associated systems. Be ready to share specific examples of how you've used these tools to improve functionality.
✨Showcase Your Analytical Skills
The job requires excellent analytical abilities, particularly in understanding the FX landscape. Prepare to discuss how you've used data analysis to support business decisions and improve cash management processes in your past roles.
✨Demonstrate Strong Interpersonal Skills
As the role involves liaising with both finance and non-finance professionals, highlight your relationship-building skills. Share examples of how you've effectively communicated complex information to diverse teams and facilitated discussions across organisational boundaries.