Key Responsibilities
* Strengthen and optimise Group Treasury's operational framework, systems and controls
* Drive governance, risk management and continuous improvement
* Enable business growth and decision‐making through high‐quality Treasury reporting, analytics, and integration support
About the team
The Group Treasury team acts as the in‐house "banker" to our businesses, supporting them with daily banking and liquidity; management of foreign exchange, interest rate and commodity risk; and working capital efficiency. In addition, the team is responsible for corporate balance sheet management, long‐term funding, dividend policy, capital management, and relationships with the Group's funding providers and rating agencies.
What you'll do
The Principal – Operations ensures the resilience, efficiency, and compliance of Treasury operations.
Within this role, you will enable business growth and decision‐making through high‐quality reporting, analytics, and integration support for acquisitions and global expansion. You will also take on governance, risk management and continuous improvement initiatives across Treasury activities.
* Partner with the Assistant Treasurer – Operations to manage operational risk, ensure compliance with Treasury policies, and investigate incidents or breaches.
* Lead continuous improvement across Treasury operations, uplifting systems, technology, SOPs and manuals to reduce manual processes and improve efficiency.
* Own Treasury systems and infrastructure, including the Treasury Management System, 360T, SWIFT connectivity and broader technology uplift.
* Maintain and test Business Continuity Plans and disaster recovery arrangements, and support internal and external audits.
* Provide risk management, analytics and reporting insights, including dashboards and executive reporting to the EGM, CFO and Board.
* Support business growth initiatives, including acquisitions, divestments and international expansion, ensuring timely integration into Treasury governance.
* Oversee Treasury operational delivery, capital markets settlements, banking authorities, budget management and team capability uplift.
What you'll need
This role asks for a commercially astute individual who combines strong analytical rigour with sound judgement. You're a clear communicator, role model best‐practice and high standards of performance, and you operate with integrity. You will have experience handling operational responsibilities and project‐driven work, and you are comfortable pivoting from detailed analysis to strategic discussions.
* Your bachelor's and/or master's degree in finance, economics, engineering or a related discipline.
* Understanding of Treasury processes and systems highly desirable.
* Exceptional interpersonal skills including nurturing relationships and influencing outcomes.
* Demonstrated capability in project management.
* Advanced financial analysis and modelling skills.
* Advanced analytical, problem‐solving and critical reasoning skills.
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