Job Description
Key Responsibilities:
Cash & Liquidity Management:
Monitor daily cash positions across multiple bank accounts.
Forecast short-term and long-term cash flow needs, considering seasonal trends.
Implement and maintain an efficient cash management system, ensuring timely collection and disbursement of funds.
Bank Reconciliation & Posting Oversight:
Work closely with the Cash Management team responsible for daily bank postings and reconciliations.
Investigate and resolve discrepancies in bank statements, POS settlements, and merchant deposits.
Treasury Operations:
Streamline treasury processes, including payments, receipts, and bank reconciliations.
Manage relationships with banking partners, negotiating terms and services to optimize fees and rates.
Reporting and Compliance:
Prepare and present treasury reports to senior management, including cash position, funding requirements, and risk assessments.
Ensure compliance with regulatory requirements and internal policies related to treasury operations.
Team Leadership:
Lead, mentor, and develop treasury staff, fostering a collaborative and results-oriented environment.
Coordinate training programs to enhance team skills and knowledge in treasury and finance.
Technology and Systems:
Evaluate and implement treasury management systems and tools to enhance operational efficiency.
Stay abreast of technological advancements and industry trends to improve treasury operations.
💡 Quick Summary
Seeking a career-building opportunity? The Treasury Operations Manager position is now open for candidates interested in the Bank Jobs sector. This role in Sheffield offers a professional environment and growth potential.
Requirement Snapshot: Candidates should possess basic communication skills, a proactive attitude, and the ability to work in a team. Experience in Bank Jobs is a plus.
