TREASURY & FINANCE MANAGER
at Blenheim Chalcot
London, England, United Kingdom -
Start Date | Expiry Date | Salary | Posted On | Experience | Skills | Telecommute | Sponsor Visa |
---|---|---|---|---|---|---|---|
Immediate | 27 Jan, 2025 | Not Specified | 27 Oct, 2024 | N/A | Good communication skills | No | No |
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Description:
- Are you curious, excited by experimentation and always looking for a better way of doing things?
- Do you want to keep learning and developing whilst getting hands-on, entrepreneurial, business building experience?
- Do you want to have the opportunity to be involved in building a best-in-class finance function for an exciting and ambitious company?
If so, we would love to hear from you!
We are looking to hire high-energy, entrepreneurial and value-adding talent at Blenheim Chalcot, the UK’s most successful venture builder to support the transformation and growth of one of our portfolio companies. This is a pivotal role within in a small, agile Finance function with exposure to Senior Management, Funding Partners and BC Partners with a fundamental impact on our development and growth.
ABOUT US
At Blenheim Chalcot, we use our ideas, infrastructure, and people to create an innovation system that transforms disruptive ideas into innovative businesses. We originate the ideas ourselves, grow them from the ground up and take them through to scaling and ultimately exit.
We typically build enterprise Software as a Service (SaaS) products, powered by Generative AI and target industries which are exposed to market, regulatory or technology discontinuities. We have built businesses across the following sectors:
- Financial Services
- Education
- Media and Marketing
- Public Services and Health
- Sports
Our track record has seen us build more than 60 businesses over the last 25+ years. The portfolio has annual revenues of £500m, employs more than 3,000 people, has raised £600m in equity, and secured exists totalling over £1bn.
Blenheim Chalcot has three global locations. Portfolio companies are headquartered from Scale Space, London, our 200,000ft2 collaboration space which was built as a joint venture with Imperial College London. Our Mumbai offices provide unparalleled scaling capability and technical expertise, and our U.S. operation powers the go-to-market activities of the portfolio across North America.
SKILLS
- Good organization, accuracy and attention to detail to effectively meet deadlines
- Self-motivated and intellectually curious
- Financial services Treasury experience (ideally in a non-bank lender)
- Financial services accounting experience desirable but not essential
- Ability to work in high pressure environments with an aptitude for problem-solving
- A team-player with good stakeholder management and communication skills
- Good level of competence in MS Office (specifically Excel) and computerised systems; experience with PowerBI desirable but not essential
- Microsoft Business Central experience is desirable (but not essential)
QUALIFICATIONS
- ACT or other relevant Treasury qualification desirable
- CIMA, ACCA, ACA desirable but not essential
PROCESS
We have a rigorous recruitment process which we use for all our roles to ensure we attract the very best and diverse talent.
This will involve an initial telephone conversation, followed by a panel interview and a case study where you will meet with that businesses management team and the Chief Operating team over 2 stages. We aspire for every person invited into an interview to find the process as interesting and engaging as we no doubt will.
Individuals seeking employment at Blenheim Chalcot must note we see diversity as a really positive thing that creates a better workplace and delivers better outcomes, so we are keen to maximize the diversity of our workforce and actively encourage applications from anyone and everyone.
By submitting your CV you understand that we have a legitimate interest to use your personal data for the purposes of assessing your eligibility for this role. This means that we may use your personal data to contact you to discuss your CV or arrange an interview, or transfer your CV to the hiring manager(s) of the role you have applied for. You can ask us at any time to remove your CV from our database by emailing recruitment@blenheimchalcot.com – but please note that this means we will no longer consider you for the role you have applied for. You can review our privacy policy here
Responsibilities:
THE ROLE
This role offers an excellent opportunity for a motivated and technically strong Treasury & Finance Manager to take full ownership of key areas in the Finance function within one of the BC portfolio businesses.
This is a newly created role and so will have some scope to be shaped as you embed into the role. You will be responsible for driving improvements across the Finance team to continue progress made to date in achieving a ‘gold standard’ Finance function.
KEY RESPONSIBILITIES
The Treasury & Finance Manager is a vital role within the Blenheim Chalcot portfolio business and will require excellent attention to detail and a drive for continuous improvement.
The successful Treasury & Finance Manager will play a key role in leading and shaping our Finance function and will have full responsibility for improving the processes, controls, structure and culture that make a ‘gold standard’ Finance function.
SPECIFIC DUTIES
- Technical treasury go-to person within the business
- Creation of BAU Treasury deliverables, including forecasting of cashflows and reporting for our funding providers
- Implement best practices in treasury management, including cashflow management, hedging and funding optimisation
- Advise on Treasury tactical and strategic decision-making, based on the contractual agreements with our funders and the aims of the business
- Support other members of the Finance team where required with treasury and finance expertise
- Implement and maintain internal controls to safeguard financial assets (including, but not limited to, reconciliations and leading on fixing any data discrepancies)
- Coordinate and manage external audits, liaising closely with auditors to provide necessary documentation and explanations
- Conduct financial risk assessments and develop strategies for risk mitigation
- Identify opportunities to streamline processes and improve efficiency and accuracy
- Leverage technology, including AI, to enhance processes
The ideal candidate will also lead some of the core Finance areas, in addition to the Treasury team, including:
- Prepare and oversee the generation of statutory financial statements, including balance sheets, income statements and cash flow statements
- Implement best practices in financial reporting, processes and accounting
- Lead preparation of monthly management information
- Ensure compliance with accounting standards and regulatory requirements
- Ensure compliance with financial regulations and reporting requirements, including tax filings (such as corporation tax and R&D claims)
- Ensuring sound cost management and controls within Finance and the wider business
REQUIREMENT SUMMARY
Min:N/AMax:5.0 year(s)
Financial Services
Accounts / Finance / Tax / CS / Audit
Accounts Management
Graduate
Proficient
1
London, United Kingdom