Job Description
Please only apply for this role if you have experience in buy side treasury . Ideally Private Credit or Private equity. Key Responsibilities - Liquidity Management
- Lead daily cash forecasting.
- Maintain a robust liquidity and funding framework.
- Monitor group-wide cash flows.
- Ensure sufficient funding for operations and investments.
- Reporting
- Produce accurate, insightful monthly treasury KPI reports.
- Provide reporting for both internal and external stakeholders.
- Debt Facilities
- Operate and monitor debt financing arrangements (ABL, Sub-Line, NAV).
- Assess borrowing capacity.
- Manage debt usage.
- Ensure covenant compliance.
- FX Hedging
- Manage €30bn of fund-level FX exposures.
- Execute hedging strategies to support investment performance.
- Deal Pipeline
- Liaise with deal teams to align liquidity planning with investment activity.
- Standardise liquidity reporting across stakeholders.
- Payments
- Oversee payment processing.
- Manage payment approvals.
- Data Governance
- Uphold data integrity through strong processes and controls.
- Risk & Controls
- Maintain a risk-focused approach.
- Ensure compliance and operational resilience.
- Treasury Systems
- Support the implementation of FIS Integrity.
- Stakeholder Support
- Respond to internal and external queries.
- Provide guidance on cash, liquidity, and treasury processes.
Requirements - Experience
- Minimum 5 years’ experience in treasury, cash management, or finance operations within global capital markets or alternative investment management.
- Proven experience in liquidity forecasting and cash modelling within private credit or private equity.
- Track record managing complex treasury structures (e.g., pooling, fund hierarchies).
- Technical Skills
- Strong understanding of financial markets, particularly in alternative investments.
- Proficient in Excel and PowerPoint.
- Skilled in data visualisation tools (e.g., Power BI, Qlik).
- Experience with FIS Integrity/Quantum.
- Qualifications
- Qualified or part-qualified treasury/accounting professional (e.g., DipTM, ACCA, CIMA).
- Analytical & Communication Skills
- Strong analytical skills, including cash flow modelling and scenario analysis.
- Effective communicator with a collaborative approach.
- Experienced in stakeholder management.
- Project & Process Management
- Demonstrated ability to manage deadlines and prioritise tasks in a high-volume environment.
- Change-oriented, with experience in process improvement and project delivery.
YOU MUST HAVE BUY SIDE TREASURY EXPERIENCE FOR THIS ROLE.
Looking 3-10 years experience
No sponsorship available