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Senior Treasury Analyst - Private Equity

Employer
Carnegie Consulting
Location
London, United Kingdom
Salary
GBP65000 - GBP100000 per annum + bonus, pension, health, life assurance
Closing date
Mar 26, 2023

View more

Job Function
Private Equity/Venture Capital
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
Senior Treasury Analyst - Private Equity, London

£70,000 - £100,000 basic salary plus discretionary bonus and employee benefits

The Opportunity:

  • My client is an entrepreneurial and award winning Private Equity business with over $40bn AuM and offices in several financial centres, including beautifully appointed offices situated in Mayfair, London
  • Due to recent developments they are looking to establish a Treasury function locally in the London office
  • The opportunity is a greenfield one with the chance to develop and shape the function and ensure that it is effective and fit for purpose
  • Only brief details are known currently as my client scopes out the role internally, however they are looking for an experienced Treasury professional who can demonstrate that they have the knowledge and experience to build and shape the function and ensure that functionally it is "best of breed"


Anticipated responsibilities may include:

  • Determine, implement and manage formal FX policy
  • Manage and execute all FX requirements (Funds and Corporate)
  • Manage existing ISDA agreements and negotiate terms and onboard new banks and Funds
  • Execution of hedge transactions in conjunction with advisers
  • Reporting of MTM positions, risks and exposures
  • Manage relationships with FX bank counterparties and advisers
  • Liaise with portfolio companies and advise on hedging strategy
  • Manage existing Fund level facilities (subscription lines, NAV facilities and revolving credit facilities)
  • Support senior management in negotiation of new borrowing facilities (Fund and Corporate entities)
  • Manage relationships with facility providers and advisers, and the associated compliance reporting
  • Cash Management


Your Experience:

  • You will have a strong record of academic achievement, culminating in perhaps an accounting qualification, passes at CFA, and/or completion of relevant Corporate Treasury qualifications
  • The successful applicant will have previous FX and debt experience and will assume responsibility for the strategy and development of the treasury function
  • You will oversee all operations and policies related to the treasury function including but not limited to foreign exchange, debt management and cash management
  • It would be helpful if you have experience within the alternative investment space, either from a Private Market investment business or Treasury and Risk Management Consultancy business
  • Experience from a more general Corporate Treasury background may also be considered as long as you are technically very astute and have worked in a function that has required development and you have played a significant part in shaping the processes
  • You will possess exceptional communication skills, both written and verbal, as well as a problem solving and inquisitive mindset
  • Effective stakeholder management is paramount, and the ability to work with Senior Management located in different time-zones / jurisdictions
  • Ability to influence and work both independently as well as a member of a wider Finance function

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