Group Treasurer
Winchester - UK
Job Summary
Group Treasurer
Purpose
Leads the development and delivery of Arqivas treasury vision and strategy as well as managing corporate liquidity debt financing financial risk and banking relationships to ensure financial health and maximise shareholder value making a significant impact on the Finance function outcomes.
Location
Commutable distance to London / Winchester
Whats in it for you
- Up to 135500
- 20% bonus
- Work Life Smarter our commitment to a flexible and hybrid working culture
- Generous pension scheme starting at 6% rising to 10%
- A unique wellbeing programme that looks after the whole you
- Access to multiple learning platforms to support your individual development
- Active and diverse networks that build community support wellbeing and advocate for change
- A comprehensive set of benefits including discounts on big brands gymflex memberships and paid volunteering leave - see our full list of benefitshere.
Plus youll play an integral role in protecting the commercial value of Arqivas sites - a critical part of how we deliver for our customers.
Accountabilities
Treasury strategy:lead development and execution of plans to realise the treasury vision and strategy as well as to ensure efficient treasury operations and financial health.
Cash & liquidity management:oversee daily cash operations bank account management and short-term cash forecasting to ensure adequate liquidity and working cash optimisation.
Capital structure & financing:manage corporate debt credit facilities and capital markets activities (e.g. bonds derivatives equity issuance) to fund operations and investment programmes. Support the Director of Corporate Finance Director in developing Arqivas capital structure strategy optimising the balance of debt equity and hybrid instruments to support long term investment requirements credit metrics covenant compliance and shareholder return objectives.
Risk management:identify and mitigate risks particularly foreign exchange exposure interest rate risks liquidity risks and counterparty credit risks ensuring hedge accounting compliance where applicable
Banking & investor relations: be responsible for and maintain relationships with banks and support engagement with rating agencies and investors.
Compliance & governance:ensure treasury policies adhere to internal controls and regulatory requirements. Monitor and ensure compliance with financial covenants.
Operate as an SME within own field of expertise continuously developing expert knowledge of emerging trends and changes in treasury principles and practices and the applicability to Arqiva sharing this knowledge with team members as relevant
Provide strategic Treasury advice to CFO Executive Committee and Board on funding strategies and own the relationship with the shareholder board sub-committee (Capital Structure Committee) and the most significant credit rating agencies banks and debt investors
Manage self & task:role model Arqivas culture goals with the team building respect and credibility; set a high-performance bar and challenge the team to deliver sustainable results by developing the skills and capabilities of the team and focusing on outcomes.
Manage relationships & communications:connect collaborate & lead communication transparently balancing face to face and virtual with own team and teams across the business to encourage cross-functional understanding agreement and knowledge sharing
Skills
Accounting principles
Financial data processes systems analysis and insight
Financial controls compliance and risk
Forecasting planning and budgeting
Risk and assurance
Statutory and external financial reporting
Treasury operations debt service and liquidity management
Debt capital markets fund raising
Debt ratings process and covenant compliance
Derivatives management
Knowledge & Experience
Extensive experience in treasury or a related field with knowledge of Treasury operations derivatives management and capital markets.
Extensive experience of developing and executing plans to realise treasury strategies for large complex organisations.
Experience of significantly improving treasury value in a large complex organisation.
Public and Private debt market experiences including raising of debt hedging & derivatives
Proven experience of effectively management investor banking and credit rating agency stakeholders.
Strong cashflow and liquidity experience.
Qualifications:Fully qualified (or with equivalent experience) in a relevant accounting qualification (e.g. ACCA CIMA) or Treasury qualification (e.g. ACT) is advantageous.
If youre unsure whether you meet every requirement dont let that hold you back - your experience may be exactly what were looking for.
Why Arqiva:
We enable a switched-on world to flow. As the UKs leader in TV and radio broadcast and the countrys top smart utilities platform we are shaping the future of connectivity.
Our infrastructure delivers media and data exactly wheretheyreneeded-whetherthatsbringing TV and radio to your home or sending smart meter data to your utility provider. Our technology works quietly behind the scenes connecting millions every day.
Butitsnot just what we doitshow we do Arqivayoullfind real connection: supportive teams active colleaguenetworksand plenty of ways to get involved and feel part of our you the space and support togrow-whetherthatsdevelopingyour skills trying something new or taking on fresh because there is more to life than work our rewards and benefits are designed to support your wellbeing yourlifestyleand what matters most to you.
Our commitment toDiversity & Inclusion
At Arqivawerecommitted to building a workplace where everyone feels valued heard and empowered to succeed. We welcome applications from all backgrounds and experiences and we work hard to remove barriers so every colleague can thrive. If you need any adjustments at any stage of the recruitment process please reach out to
If this sounds like the right next step for youwedlove to hear from you!
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