Finance & Treasury Controller - Capital Markets
Finance & Treasury Controller - Capital Markets

Finance & Treasury Controller - Capital Markets

Sheffield Full-Time 68000 - 102000 £ / year (est.) Home office possible
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At a Glance

  • Tasks: Manage financial operations and drive the firm's financial strategy in a dynamic role.
  • Company: Join a revolutionary FinTech start-up transforming the post-trading space across Europe.
  • Benefits: Enjoy flexible remote work options and potential equity in a growing company.
  • Why this job: Be the first Finance hire and grow into a Head of Finance role in an innovative environment.
  • Qualifications: Qualified accountant with experience in cash flow forecasting and treasury management required.
  • Other info: Contact Mark for a confidential discussion if you need help with your CV.

The predicted salary is between 68000 - 102000 £ per year.

Post-Trading FinTech

Remote (UK)

To £85k + equity

Are you looking for a natural route to your first Head of Finance / Head of Treasury role? Or perhaps you’re simply looking for more flexibility to work from home? This FinTech start-up will revolutionise the post-trading space both here in the UK and across Europe. And they’re about to go live. So, it’s a fantastic time to join.

You’ll be the firm’s first Finance hire, and it’s envisaged that this position will develop into a Head of Finance & Treasury role over time. They also have a really flexible working policy. You can work completely remotely, you can go into the office every day, or anything in between, it’s entirely up to you. Whatever suits you and your circumstances best.

Initially a standalone role, you’ll manage the firm’s financial operations, ensuring compliance with legal, regulatory and accounting rules and oversee complex cash flows with their investment and trading activities. You’ll be directly responsible for driving the firm’s financial strategy, for all financial reporting including the firm’s ICARA process, ensuring adherence to capital adequacy and liquidity requirements.

In addition, you’ll lead cash flow forecasting and liquidity management for the business, ensuring adequate capital reserves are maintained for operational and regulatory purposes, with appropriate controls for escalations and reporting.

You’ll most likely be a qualified accountant who has gained strong experience of cash flow forecasting and treasury management within a capital markets environment or similar. You’ll be fully conversant with MIFIDPRU regulations and possess excellent stakeholder management skills.

Sound good? If so, click apply and send over your CV.

Not got an up to date CV? Don’t worry, you can always give me (Mark) a call on 0121 274 0357 for a confidential discussion or email me at mark.wilson@willowresourcing.co.uk telling me that you’re interested. We’ll pick it up from there.

Finance & Treasury Controller - Capital Markets employer: Willow Resourcing Limited

Join a pioneering FinTech start-up that is set to transform the post-trading landscape in the UK and Europe. As the first Finance hire, you will enjoy unparalleled flexibility with remote working options and the opportunity for rapid career progression into a Head of Finance & Treasury role. With a strong emphasis on employee growth and a supportive work culture, this is an exciting chance to make a significant impact while enjoying a rewarding work-life balance.
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Contact Detail:

Willow Resourcing Limited Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Finance & Treasury Controller - Capital Markets

✨Tip Number 1

Familiarise yourself with MIFIDPRU regulations, as this role requires a solid understanding of compliance in capital markets. Being able to discuss these regulations confidently during your interview will demonstrate your expertise and readiness for the position.

✨Tip Number 2

Highlight your experience in cash flow forecasting and treasury management. Prepare specific examples from your past roles that showcase your ability to manage complex cash flows and ensure liquidity, as these are key responsibilities for the Finance & Treasury Controller.

✨Tip Number 3

Research the company’s vision and how they plan to revolutionise the post-trading space. Being knowledgeable about their goals and challenges will allow you to tailor your responses and show that you’re genuinely interested in contributing to their success.

✨Tip Number 4

Prepare to discuss your stakeholder management skills. This role involves working closely with various teams, so be ready to share examples of how you've effectively communicated and collaborated with different stakeholders in your previous positions.

We think you need these skills to ace Finance & Treasury Controller - Capital Markets

Qualified Accountant
Cash Flow Forecasting
Treasury Management
Capital Markets Knowledge
MIFIDPRU Regulations
Financial Reporting
Compliance Management
Stakeholder Management
Financial Strategy Development
Liquidity Management
Regulatory Adherence
Analytical Skills
Attention to Detail
Problem-Solving Skills
Communication Skills

Some tips for your application 🫡

Tailor Your CV: Make sure your CV highlights relevant experience in finance and treasury management, particularly within capital markets. Emphasise your qualifications and any specific achievements that align with the job description.

Craft a Compelling Cover Letter: Write a cover letter that showcases your understanding of the role and the company. Mention your familiarity with MIFIDPRU regulations and how your skills can contribute to the firm's financial strategy and operations.

Highlight Stakeholder Management Skills: In your application, be sure to illustrate your excellent stakeholder management skills. Provide examples of how you've successfully communicated and collaborated with various stakeholders in previous roles.

Showcase Flexibility and Adaptability: Given the flexible working policy, mention your adaptability and willingness to work in a remote or hybrid environment. This will demonstrate that you are a good fit for the company's culture and working style.

How to prepare for a job interview at Willow Resourcing Limited

✨Understand the Role

Make sure you have a clear understanding of the Finance & Treasury Controller position and its responsibilities. Familiarise yourself with key concepts like cash flow forecasting, liquidity management, and MIFIDPRU regulations, as these will likely come up during the interview.

✨Showcase Relevant Experience

Prepare to discuss your previous experience in finance, particularly in capital markets or similar environments. Highlight specific examples where you've successfully managed financial operations or driven financial strategy, as this will demonstrate your capability for the role.

✨Prepare Questions

Think of insightful questions to ask about the company's vision, culture, and future plans. This shows your genuine interest in the role and helps you assess if the company aligns with your career goals.

✨Emphasise Flexibility

Since the company offers a flexible working policy, be prepared to discuss how you can effectively manage your time and responsibilities in a remote setting. Share any previous experiences that highlight your ability to work independently and maintain productivity.

Finance & Treasury Controller - Capital Markets
Willow Resourcing Limited
Location: Sheffield
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