Interim Treasury Manager
Posted 3 hours 59 minutes ago by Robertson Bell
Are you an experienced Treasury professional with a strong track record of managing liquidity, cash flow and funding requirements? Do you have experience of covenant monitoring, securitisation and lender reporting? Are you available at short notice for a six-month interim assignment?
Robertson Bell is recruiting an Interim Treasury Manager to join a West Midlands Social Housing organisation for an initial six-month contract, working on a hybrid basis with the ability to commit to two days per week in the office.
The role will provide stability and technical expertise during a period of organisational change, with the immediate priority being to ensure the organisation maintains strong control over its cash, liquidity and funding requirements.
Key responsibilities will include:
- Taking ownership of cash flow management and forecasting.
- Managing liquidity and supporting loan drawdowns as required.
- Calculating and monitoring loan covenants.
- Overseeing securitisation, security and asset cover requirements.
- Supporting regulatory and lender reporting.
- Managing key banking relationships and treasury administration.
- Overseeing and supporting a small Treasury team.
- Supporting wider tax and statutory reporting requirements.
There is potential for the opportunity to develop into something longer-term for the right individual.
To be considered, please meet these criteria:
- Strong, hands-on Treasury experience, ideally within the Housing sector, with the ability to quickly take ownership of key activities.
- Experience of cash flow forecasting, liquidity management and funding requirements.
- Knowledge of covenant monitoring, securitisation and/or lender reporting.
Applications will be reviewed as they are received, so please apply ASAP if this opportunity is of interest.
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