
Assurance - FAAS - Treasury - Manager - London, Reading or Manchester
- London
- Permanent
- Full-time
- Systems design and implementation
- Corporate Treasury Advisory and Consulting: maturity assessments; improvement projects; controls and governance reviews; cash flow forecasting, cash flow management and optimisation; financial due diligence support.
- EY Audit Support: Providing independent expert knowledge to EY Audit clients via EY Audit teams on financial instrument valuations and accounting, hedge accounting, expected credit loss allowance calculations and incremental borrowing rate calculations.
- Financial Accounting Advisory Services (FAAS): directly advising non-EY Audit clients on how they should be accounting for financial instruments in terms of IFRS 9, 13 and 16 and FRS 102.
- Actively establish, maintain, and strengthen internal and external relationships and networks.
- Manage client engagement risk and supervise the team to ensure client deliverables are met.
- Provide subject matter expertise to clients on industry best practices and emerging trends.
- People and performance management, coaching junior colleagues throughout the performance year
- One of the following:
- Fully qualified chartered accountant e.g. ACCA, ACA, CA, CPA, ICAS, or international equivalent, with professional external audit experience; OR
- Hold a Treasury qualification (ACT, AMCT, CFA) and have experience working in a Corporate Finance or Treasury role; OR
- Degree level education or international equivalent (preferably in an Accounting/Finance related subject)
- Relevant professional Treasury experience e.g. Corporate Treasury, hedge accounting, or valuations experience, or within a treasury or financial risk system software vendor
- Strong analytical and problem-solving skills
- Excellent written and verbal communication skills
- The ability to assess business practices and articulate gaps and opportunities for improvement compared to typical industry practices
- Experience and understanding of treasury operations, including treasury systems (such as SAP S/4HANA), cash management, financial risk management, funding and debt management, bank relationship management
- Experience and understanding of treasury governance, processes risks and controls
- Knowledge of accounting and valuations of financial instruments (IFRS, UK GAAP or equivalent)
- Demonstrated interest in Financial Markets, Corporate Treasury, and/or financial risk modelling
- The ability to explain specialised concepts to non-technical audiences
- Continuous learning: You'll develop the mindset and skills to navigate whatever comes next.
- Success as defined by you: We'll provide the tools and flexibility, so you can make a meaningful impact, your way.
- Transformative leadership: We'll give you the insights, coaching and confidence to be the leader the world needs.
- Diverse and inclusive culture: You'll be embraced for who you are and empowered to use your voice to help others find theirs.