Head of Treasury

·
Full time
Location: London
·
Job offered by: Papaya Global
·
Category:
This job is brought to you by Jobs/Redefined, the UK's leading over-50s age inclusive jobs board. Description Papaya Global is a rapidly growing, award-winning B2B tech unicorn with an ambitious mission to revolutionize the payroll & payments industry. With over $400M raised from multiple tier-one investors, our innovative technology provides a comprehensive solution for managing global workforces, encompassing everything from hiring and onboarding to managing and paying employees in over 160 countries. We are looking for a Head of Treasury who will work strategically across all business units. You will help to create opportunities to drive the business forward by leveraging Treasury expertise and provide accurate cashflow forecasts and analysis. Key Areas of Responsibility: Develop new treasury system for Papaya payments based on JP and Citi Bank integrations Operational management of the team and processes Analysis and reporting on liquidity, risk, forecasts, regulatory You will: Lead strategic initiatives to implement an appropriate Treasury Management system Manage financial risks (FX, interest rate, hedging (Economical and Accounting), credit, liquidity etc) Develop a system of reporting and KPIs, focused on efficiency of working capital and risk management Build out the framework required to effectively measure, monitor, and manage the Interest Rate Risk in the Banking Book and other banking book exposures such as Foreign Exchange (FX) Analyze the drivers that can help stabilize future earnings Work on the design and implementation of new treasury processes and systems in line with best practice, pushing the business towards a strategic end goal of real-time liquidity management Work closely with product, compliance, and engineering functions Manage the efficiencies of the group liquidity requirements Ensure accurate and timely treasury reporting to senior stakeholders Ensure all regulatory liquidity reporting is accurate and completed to deadlines Develop and enhance liquidity stress tests whilst collaborating closely with the Group's risk department to ensure all regulatory risk documents are sufficiently robust Take responsibility for the daily operations of the Treasury function Manage liquidity, cash flow (Forecast, actual (direct)), and working capital through effective cashflow forecasting Collaborate with Group FP&A team to provide insights on treasury performance to support management reporting, budgeting and forecasting processes Take part in the Group banking relationships and ensure effective capital structures and loan facilities are in place as appropriate Have the ability to lead and contribute inputs to strategic treasury projects Contribute to senior finance management discussions and projects as and when required Manage recurring treasury responsibilities including global cash management, cash forecasting, bank relationship management Ensure segregation of duties among related processes and maintain effective internal controls surrounding global treasury practices Requirements Experienced (7-10+ years) treasury professional, with a solid track record and relevant Treasury and/or Accounting qualifications (CIMA/ACCA/ACA/AMCT/MCT etc) International treasury management experience in either a regulated financial services (banking / payments/ e-money) or complex multinational environment (multi entity/ multi currency/ multi bank high transactional flow environment) Experience and knowledge of global payments, risk and working capital management Strong communicator with good stakeholder management skills Able to translate technical expertise into solutions and process guidance to implement improvements or address user issues Experienced in data analysis, forecasting and reporting Pro-active self-starter. Demonstrates a strong sense of urgency and responsiveness

#J-18808-Ljbffr

Recent Jobs

London (On site) · Full time

Are you a smart, driven professional who takes pride in making a difference in local communities? Turner & Townsend’s Real Estate division is experiencing significant growth and we’re looking for an experienced industry professional with health project experience to join our high-performing and collaborative Project Management team. Why Join Us? Impactful Work: Contribute to social [...]Read More... from Assistant Project Manager – Healthcare See details

Chasetown (On site) · Full time

My client, Autosmart International are a manufacturing success story! Site Operations Manager – leading fast-paced manufacturing and warehousing About Our Client Autosmart International is a manufacturing success story, leading the field in vehicle cleaning products. We are the No.1 choice of automotive trade customers across the UK. We have doubled in size in the last [...]Read More... from Site Operations Manager See details

London (On site) · Full time

CSS are looking for an experienced duty officer to join our client’s team who are a local council responsible for all areas within the Tendering district. Working hours: All shifts are 8 hours long with various start times available: Monday to Friday – start times between 6AM – 3PM Saturday & Sunday – 6AM – [...]Read More... from Duty Officer See details