Treasury Reporting Manager
Treasury Reporting Manager
-600.00 per day (Umb)
London (hybrid)
Contract until end of year
Our client is currently searching for a Treasury Reporting Manager to join their team in London! Within this role, you would be responsible for ensuring the accurate, timely, and compliant accounting and reporting of all treasury activities across the Group.
The role provides critical financial insight and control over Treasury transactions, including cash, debt, derivatives, and foreign exchange, while maintaining robust internal controls and supporting regulatory and statutory requirements.
Key Responsibilities:
- Manage Treasury accounting and reporting activities, including:
- Month-end close
- Journal preparation
- Balance sheet reconciliations
- Bank reconciliations
- FX rate management
- Loan accounting
- Derivative valuations
- Interest reporting
- Prepare and review Treasury-related financial reports, variance analysis
- Management reporting packs
- Tax reporting schedules
- Budget submissions
- Statutory reporting requirements
- Ensure compliance with internal controls and JSOX requirements, maintain accurate accounting records across Oracle, Hyperion and related systems, support internal and external audits
- Partner with Treasury, Tax and Finance teams to deliver accurate and timely financial information while driving continuous process improvements
- Involvement in numerous cross-functional Treasury projects
Skills / Experience Required:
- Proven experience in Treasury accounting, financial reporting, corporate Treasury, or a related finance function.
- Strong understanding of Treasury accounting, foreign exchange accounting, loan accounting, month-end close processes, and financial reporting.
- Experience with IFRS7 and IFR9, derivatives, financial instruments, or hedge accounting would be advantageous.
- Strong analytical and problem-solving skills with excellent attention to detail.
- Ability to manage multiple priorities and meet tight reporting deadlines.
- Effective communication and stakeholder management skills.
- Experience working within a SOX or JSOX-controlled environment is desirable.
- Bachelor''s degree in Accounting, Finance, Economics, or a related discipline.
- ACA, ACCA, CIMA, CPA or equivalent professional qualification preferred.
- Experience with one or more of the following systems is highly desirable:
- Oracle ERP
- Treasury Management Systems
- Advanced Microsoft Excel
- Power BI (desirable)
If you are interested in this role, please do not hesitate to apply! Please note in the event of high volumes of applications we will only be able to respond to successful applications in the first instance
If you receive suspicious outreach claiming to be from us, please contact us via the ManpowerGroup website.
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