Treasury Manager
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Practised and qualified treasury manager with over 25 years of multi-industry exposure covering a breadth of geographies and currencies. Experienced in implementing treasury functions from scratch enhancing business growth, development and creating cash investment opportunities to the benefit of the business. I have used Gtreasury (TMS) Clearwater reporting Excel.
Sun Oracle, SAP, GSAM, Stat Pro, as well as executing Manual and diverse types of payments on most banking systems. Have set up Treasury from a start position and have implemented a TMS system as well as dealing with Investments in Bonds, Equity & Cash Funds, Foreign exchange including hedging. Checked weekly to ensure currency matching of assets to cover insurance liabilities in accordance to regulatory requirements and take action to increase or decrease positions set by the company.
Inter-co and New ventures, Loan facilities, Cash forecasting, Banking setups and relationships and dealing with a Brexit setup in Luxembourg. Have challenged banks and investment managers to improve both investment income and bank charges and commissions as well as changing the working dynamics to the Treasury department and improving processes. Reporting to the Board and chief Executives as well as month end reconciliation, forecasts, and regulatory reporting.
Managing staff and understanding a bottom-up process and taking into account individual requirements and developments and focus on achieving their appraisal goals.
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