Treasury Operations - Commodities in Slough

Treasury Operations - Commodities in Slough

Slough Full-Time 60000 - 80000 £ / year (est.) Home office (partial)
Richard James Recruitment Specialists Ltd

At a Glance

  • Tasks: Manage cash operations, liquidity, and reporting in a dynamic commodities trading environment.
  • Company: Join a leading London-based international commodities trading firm with a global reach.
  • Benefits: Enjoy a hybrid working pattern, competitive salary, and opportunities for professional growth.
  • Other info: Collaborative culture with a focus on process improvement and automation.
  • Why this job: Gain cross-functional experience and make an impact in the fast-paced energy market.
  • Qualifications: Bachelor's degree in Finance or related field; 5-8 years in cash operations preferred.

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

Our client is a London-based international commodities trading firm operating across global energy markets. The company combines market expertise, commercial insight, and operational excellence to manage trading activities and support complex international supply chains in a dynamic and fast-paced environment. The business offers a 4/1 hybrid working pattern and provides employees with broad exposure across multiple functions, creating excellent opportunities to gain cross-functional experience and develop a well-rounded understanding of the organisation.

Key Responsibilities

  • Cash & Liquidity Management
    • Assist in preparing and processing supplier payment runs, ensuring payments are made accurately and on schedule.
    • Allocate incoming customer receipts against open invoices.
    • Manage multi-currency payments and receipts across customers and suppliers.
    • Review and process counterparty margin calls in a timely manner.
    • Upload daily bank statements into SAP and ensure completeness and accuracy of data.
    • Perform daily and monthly bank reconciliations and ensure accurate transaction recording.
    • Manage daily cash positioning across all bank accounts and legal entities.
    • Monitor liquidity requirements and ensure adequate funding for trading operations.
    • Monitor daily working capital, support optimisation initiatives, and deliver timely and accurate reporting.
    • Coordinate with banking partners on funding requirements and execute related funding activities.
    • Execute daily internal cash transfers and funding transactions.
    • Oversee the accuracy of accounting entries generated during payment runs, ensuring alignment with AP/AR principles.
    • Work closely with the Settlements Team to validate supplier invoices and ensure accurate and timely SAP postings.
    • Partner with the Trade Finance Team to ensure accurate cash allocation for Letter of Credit (LC) requirements.
    • Oversee treasury dealing activities, including FX spot, forward and money market transactions.
    • Ensure timely settlement of payments and treasury transactions.
    • Maintain appropriate segregation of duties within cash operations.
    • Monitor bank account structures and signatory controls.
    • Coordinate the opening, closing and maintenance of bank accounts globally.
    • Maintain SAP TRM records and banking platforms.
  • Cash Forecasting & Reporting
    • Prepare daily, weekly, monthly and rolling 13-week cash flow forecasts.
    • Produce liquidity reports for senior management, including the Managing Director and CFO.
    • Prepare ad hoc cash reporting and analysis as required.
    • Develop treasury, cash and banking dashboards to enhance reporting and visibility.
  • Controls, Compliance & Process Improvement
    • Support bank KYC and compliance requests.
    • Assist with internal and external audits.
    • Drive automation and treasury digitalisation initiatives.
    • Improve cash forecasting accuracy and treasury reporting capabilities.
    • Lead treasury system enhancement projects.
    • Identify operational efficiencies across treasury and settlements processes.

Qualifications & Experience

  • Bachelor's degree in Finance, Economics, Business Administration, Accounting or a related discipline.
  • 5-8 years of experience in cash operations and treasury; AP/AR experience would be advantageous.
  • Experience within Oil & Gas, Commodities, Energy or a trading house environment is highly desirable.
  • Experience working within multinational and multi-currency environments.

Technical Skills

  • SAP TRM / SAP S4HANA
  • Advanced Excel and Power BI
  • SWIFT and electronic banking platforms

Key Competencies

  • Strong analytical and problem-solving skills.
  • Commercial awareness and a strong attention to detail.
  • Process improvement mindset and risk awareness.
  • Ability to work independently, prioritise effectively and manage multiple tasks.
  • Comfortable working to tight deadlines in a fast-paced environment.
  • Strong interpersonal skills with the ability to build relationships across internal and external stakeholders.
  • Enthusiastic, self-motivated and proactive.
  • Positive and solution-oriented approach.
  • Collaborative team player with a willingness to support colleagues across the business.
  • Highly motivated to learn and eager to take on new responsibilities and challenges.

Treasury Operations - Commodities in Slough employer: Richard James Recruitment Specialists Ltd

As a leading international commodities trading firm based in London, we pride ourselves on fostering a dynamic and inclusive work culture that prioritises employee growth and development. With a flexible 4/1 hybrid working pattern, our team enjoys broad exposure across various functions, enabling them to gain invaluable cross-functional experience while contributing to the fast-paced energy markets. We are committed to driving innovation and operational excellence, making us an exceptional employer for those seeking meaningful and rewarding careers in the commodities sector.

Richard James Recruitment Specialists Ltd

Contact Details:

Richard James Recruitment Specialists Ltd Recruitment Team

StudySmarter Expert Advice🤫

We think this is how you could land Treasury Operations - Commodities in Slough

Tap into Campus Networks

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We think you need these skills to ace Treasury Operations - Commodities in Slough

Cash & Liquidity Management
Multi-Currency Payments
Bank Reconciliations
SAP TRM / SAP S4HANA
Advanced Excel
Power BI
SWIFT and Electronic Banking Platforms

Some tips for your application 🫡

Show Off Your Numbers!:In the banking and financial services world, quantifiable achievements are key. Make sure your CV highlights your grades in relevant subjects, any financial certifications you hold, and specific projects where you've delivered measurable results. Employers love to see how your skills translate into real-world success.

Tailor Your Cover Letter to the Role:When applying for a full-time position, your cover letter should make a direct connection between your experience and the job description. Don't just state your enthusiasm for finance—dive into how your background in banking or financial analysis sets you apart. Let your passion shine through while being specific about what you can bring to Richard James Recruitment Specialists Ltd.

Include Relevant Financial Software Experience:If you've worked with financial modelling tools or software like Excel, SAP, or specific analytical tools during your studies or internships, bring that up! Highlighting your proficiency can really make your application pop and show you're ready to hit the ground running in a full-time role.

Research and Reflect:Before hitting that 'apply' button on Richard James Recruitment Specialists Ltd's website, do a little digging. Look up their recent projects, values, and culture. Reflecting their ethos in your application can make a huge difference and show you’re genuinely interested in being part of the team!

How to prepare for a job interview at Richard James Recruitment Specialists Ltd

Brush Up on Financial Analysis Skills

Make sure you're well-versed in financial concepts and analytical techniques relevant to banking and financial services. Get comfortable with tools like Excel for modelling or financial forecasting, as technical questions in this area are common during interviews with Richard James Recruitment Specialists Ltd.

Prepare for Case Studies

Expect to tackle case studies that demonstrate your problem-solving skills in real-world banking scenarios. Familiarise yourself with the types of problems you might face—think risk assessments or investment evaluations—and be ready to articulate your thought process clearly.

Show Your Passion for Finance

Since this is a full-time position, employers at Richard James Recruitment Specialists Ltd will be keen to see your genuine interest in finance. Be prepared to discuss recent industry trends or news articles that excite you, showcasing your enthusiasm and engagement with the field.

Network with Industry Professionals

Before your interview, reach out to current or former Richard James Recruitment Specialists Ltd employees on platforms like LinkedIn. They'll offer unique insights into the company's culture and the interview process, which can give us a delightful edge in showcasing a good fit for the team.