Senior Associate, Treasury Solutions
at London Treasury Limited
London, England, United Kingdom -
Start Date | Expiry Date | Salary | Posted On | Experience | Skills | Telecommute | Sponsor Visa |
---|---|---|---|---|---|---|---|
Immediate | 30 Nov, 2024 | Not Specified | 02 Sep, 2024 | N/A | Training,Excel,Coding Experience,Matlab,Powerpoint,Outlook,Capital Markets,Financial Literacy | No | No |
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Description:
Grade: Senior Associate (£75,000 – 115,000 dependent on experience)
Reporting to: Deputy Director, Treasury and Shared Service Delivery
Direct and indirect reports: None
This role is subject to the Financial Conduct Authority’s Senior Managers & Certification Regime.
To apply for this position please click the Apply button.
Closing date: 30 September 2024 – interviews for suitably qualified applicants may begin sooner.
BACKGROUND
The Greater London Authority (GLA) operates one of the largest public sector treasury functions in Europe, serving its own needs and those of its strategic partners, in one of the longest standing and most successful shared services within the GLA Group, i.e. the GLA and the Functional Bodies that support the Mayor of London.
This shared service is delivered by the GLA’s Chief Investment Officer (CIO), supported by London Treasury Limited (LTL), the GLA’s wholly-owned investment management subsidiary (of which the CIO is Managing Director), authorised and regulated by the Financial Conduct Authority (FCA).
We are looking for a Senior Associate to join LTL’s treasury team, leading on providing consultancy and solutions to the shared service participants, creating and maintaining detailed financial models, understanding asset and liability risks and then designing and executing relevant transactions.
You will need experience in both advanced financial modelling and understanding complex financial contracts, and be an excellent communicator. You will rapidly need to become familiar with the features of local authority capital finance and regulation, but we welcome applicants from any sector with experience of one or more domains of treasury, corporate or project finance, asset and liability management, credit analysis, banking or investment management.
GENERAL REQUIREMENTS – SENIOR ASSOCIATE
- Persuasive and confident, with the ability to represent the organisation at board/committee and senior official level
- Highly effective written and oral communication style with proved ability to draft board-level reports, complex strategic advice, decision recommendations and internal guidance
- Commercial, outcomes and solutions-focussed mindset
- Experience of procuring and managing consultants and lawyers to achieve business goals and secure value for money
- Experience of management of human and financial resources, including mentoring junior colleagues
- Professional familiarity with Microsoft Office core applications (Excel, Word, PowerPoint and Outlook)
- Detailed awareness of the principles of public life and the ability to act as an exemplar of good conduct and probity
- Attention to fine detail while maintaining awareness of overall organisational strategy, proactively seeking to advance organisational goals
- Commitment to collegiate and collaborative working and realising internal and external synergies
- Commitment to developing and maintaining a diverse workforce and championing an inclusive culture for all
- Willingness to undertake training and development as required by the firm from time to time
- Commitment to maintaining and owning relevant sections of the corporate risk register and contributing to collective management of risks and compliance
Responsibilities:
KEY RESPONSIBILITIES
- Support the Deputy Director, Treasury and Shared Service Delivery and the Managing Director in the provision of world-class, customer-focussed treasury services to the GLA and its partners
- Identify and explain potential solutions to enable the delivery of capital priorities on or off-balance sheet, including detailed cost/benefit and risk analysis
- Be the principal point of financial advice to senior management across the shared service for the development of financing strategies, maintaining an extensive network of market contacts and relationships in order to identify new products, opportunities and risks for consideration
- Develop and maintain sophisticated asset and liability models for the GLA and other shared service participants in relation to prospective and existing debt portfolios, conducting detailed scenarios and options appraisals and stress testing
- Develop liability benchmarks and other risk indicators for each shared service participant and, working with treasury team colleagues and finance contacts, provide detailed quantitative and qualitative commentary on variances and trends
- Support shared service participants in the maintenance of credit ratings including analysing the potential rating impact of new projects or borrowing
- Act as a strategic business partner to each shared service participant to ensure their annual strategies and subsequent monitoring are useful and relevant, matching their individual requirements while ensuring all relevant regulatory requirements are met; with the support of the Treasury Analysts, hold responsibility for the production of client treasury reporting
- Lead the development of new and expand the utilisation of existing treasury software systems and oversee client training and onboarding, in collaboration with the Senior Associate, Treasury Operations Manager
- Work collegiately with the analytical and modelling professionals across LTL’s service teams to establish common standards of excellence and best practice, identify systems or other synergies, and contribute to the professional development and training of colleagues
- Lead the execution of financing transactions, including procuring and managing external advisors and ensuring the commercial best interests of the firm and shared service participants are maximised and the risks of any financial instruments are understood
- Attend and contribute to the firm’s Investment Committee to ensure participants’ holistic treasury requirements are considered when collective investment strategy is formed, and conversely, that the implications of investment risk are considered when conducting stress tests
ROLE SPECIFIC REQUIREMENTS
- A professional qualification in a relevant discipline (e.g. accountancy, law, CFA, ACT)
- High level of financial literacy with the ability to analyse balance sheets and work with discounted cash flows, ideally with practical project finance experience
- Demonstrable experience of working with complex contracts and understanding applicable legislation and regulation
- Advanced Excel skills and ideally coding experience and knowledge of stochastic modelling and stress testing techniques in Excel, MATLAB or similar software packages
- Knowledge of debt capital markets and credit rating methodology
- Awareness of asset and liability risk management including hedging techniques
REQUIREMENT SUMMARY
Min:N/AMax:5.0 year(s)
Financial Services
Accounts / Finance / Tax / CS / Audit
Finance
Graduate
Proficient
1
London, United Kingdom