Added
8 days ago
Type
Full time
Salary
Salary not provided

Related skills

corporate finance banking financial modelling treasury cash management

πŸ“‹ Description

  • Own bank account management across multiple entities and jurisdictions, including account opening
  • Forecast group and entity-level cash positions, borrowing needs, and funds available for
  • Manage day-to-day liquidity, cash pooling, and intercompany funding flows to optimise the use of
  • Design and execute the group's FX strategy β€” identifying, quantifying, and hedging currency
  • Manage interest-rate and counterparty risk, selecting appropriate instruments and monitoring
  • Maintain robust controls and reporting around all treasury and risk activity.

🎯 Requirements

  • Significant experience in treasury, corporate finance, capital markets, or a closely related field
  • Demonstrated ability to manage FX and financial risk across a multi-entity, multi-currency group.
  • Hands-on experience with bank account management, banking platforms, and cash-flow forecasting.
  • A track record of sourcing and executing financing β€” debt instruments, facilities, and/or strategic
  • Direct involvement in equity fundraising: pitch decks, investment memos, data-room management, and
  • Strong financial modelling and analytical skills, with excellent written communication for

🎁 Benefits

  • Competitive equity: stock options with meaningful upside as we scale.
  • 30+ paid days off, including 23 days of annual leave, all UK bank holidays, and additional company
  • Private healthcare, including virtual and in-person care.
  • Pension scheme with 8% total contribution (5% employee, 3% employer) on full earnings.
  • Free daily breakfast, catered lunch, and snacks in-office.
  • Work at the frontier - collaborate daily with world-class engineers, researchers, and product
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