Cash and Banking Team Lead at Radius Limited
Crewe, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

27 Apr, 26

Salary

0.0

Posted On

27 Jan, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Cashflow Forecasting, Bank Reconciliations, Variance Analysis, Team Leadership, Data Analysis, Excel, Access, Stakeholder Liaison, Training, Cash Position Optimization, Reporting, Control Improvement, Project Contribution, Attention To Detail, Deadline Management

Industry

Business Consulting and Services

Description
Company Description We’re an ambitious, forward-thinking global business who build transformative solutions for our customers to deliver best-in-class sustainable mobility, connectivity and technology solutions. We support our customers with a range of products and services to meet their needs. Since 1990 our ambition has never wavered. From humble beginnings, our vision and drive has seen us venture into new markets with confidence and stay ahead of market trends. Our mission is to help businesses of all sizes adapt to the future and take advantage of the opportunities that change brings. Sustainability is at the core of our offering. With our leading e-mobility solutions, we’re committed to guiding businesses through the energy transition, building solutions for a more sustainable, connected future. This is where you come in. We are on a journey of growth. We pride ourselves on being at the forefront of technology innovation and we invite you along on this journey. Job Description The role of Cash and Banking Team Lead is really important to us. The successful candidate will play a vital role in ensuring that the day-to-day operations of the department run smoothly utilising systems to maximise efficiency and accuracy alongside helping to drive performance through insightful analysis and reporting. Your responsibilities day to day will be… Full ownership of the Fuel divisional cashflow forecast of c. £200mil weekly gross flows ensuring accuracy, in-depth understanding and timely submissions Build, maintain, and consolidate robust short-term and long-term cash forecasting models, monitoring actual cash flows against forecasts and providing variance analysis Lead and develop a team responsible for the delivery of high-quality daily bank reconciliations across the group Act as a key point of contact for cash and banking queries, aid with resolving discrepancies and liaising with internal stakeholders as necessary Assist with training and developing the wider finance team to ensure best practices and understanding of cashflow forecasting Collaborate with the Group Treasury Team to optimize cash positions Challenge the existing reporting and controls providing proactive assistance, support and guidance to the team to drive continuous improvement and efficiencies Contribute to various ad-hoc projects and initiatives to support strategic goals Qualifications Experience/Skills Required: Minimum 3 years’ experience of working in a Finance or operations related role Advanced Excel and Access skills with experience of forecasting models and handling large data sets Ability to prioritise and deliver to deadlines within a fast-paced environment Excellent attention to detail. Ability to produce board-level quality reporting and analysis Autonomous and enthusiastic self-starter Show an impressive attitude and not only take full responsibility for their duties but are enthusiastic to take on new challenges which will develop their own career. Experience of leading and developing a team is desirable Additional Information Still Curious? If you feel we are a good match for each other, you can apply online now! If you’d like to understand more about the role or life at Radius before applying, then please contact our talent team via [email protected] Radius is an equal opportunities employer. We are committed to welcome people regardless of age, disability, gender identity, race, faith or belief, sexual orientation or socioeconomic background. We are committed to ensuring an inclusive and accessible recruitment process for all candidates. If you require any adjustments or accommodations at any stage of the process, please let us know, and we will do our best to support you. We reserve the right to close a vacancy before the closing date in the event of an overwhelming response or a change in business priorities. Department: Finance & Commercial Work Pattern: Office Based (5 days onsite)
Responsibilities
The successful candidate will manage the Fuel divisional cashflow forecast of approximately £200 million weekly gross flows, ensuring accuracy and timely submissions, while leading a team responsible for high-quality daily bank reconciliations across the group. Responsibilities also include building robust cash forecasting models, monitoring variances, acting as a key point of contact for cash and banking queries, and collaborating with the Group Treasury Team.
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