Treasury Manager
Hybrid | 1β2 days per week (once each month min, in Barrow-in-Furness)Salary: up to Β£70,000 + up to 10% bonus + excellent benefits
We are delighted to be partnering with the Furness Building Society to recruit a key role within its Treasury function.
This is an exciting opportunity for a strategic, analytical and collaborative Treasury professional to join the Society as Treasury Manager. Working closely with senior stakeholders, you will play a central role in supporting the effective management of the Society's Treasury and Asset & Liability Management (ALM) activities.
Reporting to the Group Treasurer, you will provide high-quality analysis, forecasting and insight to support informed decision-making and help ensure the Society maintains a strong and effective balance sheet.
Responsibilities include:
- Coordinating the preparation of ALCO papers and producing clear, insightful Treasury reporting and dashboards for senior management committees.
- Leading asset and liability forecasting, including financial modelling of the company balance sheet and key regulatory ratios.
- Supporting the development and delivery of the liquidity, funding and hedging strategies.
- Overseeing liquidity stress testing, regulatory reporting and the ongoing review of Treasury policies, controls and prudential limits.
- Working collaboratively across the business and with external providers to improve Treasury systems, reporting and decision-making.
The successful candidate will possess:
- A part or full accountancy qualification, such as CIMA, ACCA or ACA, or a part or full Treasury qualification, such as CertBALM or AMCT.
- Experience within a Treasury or Asset and Liability Management function in a
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