Treasury Manager
JOB_52694664619905Job type
PermanentLocation
LondonWorking Pattern
Full-timeSpecialism
Tax And TreasuryIndustry
Property & Real EstatePay
£75,000 - £80,000
Treasury Manager - Listed Real Estate - City of London
Your new company
A listed real estate business is looking for a Treasury Manager to join their growing team and support the Treasury and Capital Markets team.
Your new role
- Debt Origination and Liquidity Management
- Support execution of the Group’s funding strategy across bank, bond, private placement, including sustainable finance
- Analyse financing options, prepare relevant approval and presentation materials
- Negotiation of finance terms and delivery of transactions
- Support ongoing issuance of commercial paper and associated FX hedging
- Manage operation and utilisation of revolving credit facilities
- Interest Rate Management
- Support the Derivatives Committee with interest rate risk management
- Analyse hedging requirements and support execution of derivative transactions
- Assist with governance, documentation, and maintenance of ISDA agreements
- Treasury Operations, Systems & Reporting
- Lead cash and liquidity forecasting and cash management processes for BL and its Joint Ventures
- Support treasury payment, settlement, and banking processes
- Forecast and monitor debt metrics and covenant compliance
- Produce cash and debt management reporting for Group processes and quarterly JV Board meetings.
- Maintain and enhance the Treasury Management System (TMS) and associated Power BI reporting dashboards
- Drive continuous improvement in treasury data quality, controls, reporting, and automation
- Update the EMTN programme, Sustainable Finance Framework, and manage the ESG debt reporting
- Other Responsibilities
- Contribute to treasury planning, including debt strategy, interest rate management policy, and Treasury Policy
- Support engagement with rating agencies, trustees, lenders, and other key stakeholders
- Support corporate and property transactions, particularly those involving structured finance
- Contribute to wider treasury initiatives and cross-functional projects as required
- Operate in full accordance with company policies, financing principles, and governance frameworks.
What you'll need to succeed
- Professional qualification (ACA, CFA, ACT or equivalent)
- Practical understanding and application of real estate financing structures
- preferred
- Experience with Treasury operations and Treasury Management Systems preferred.
- Strong financial modelling and Excel capability; proficient in Word, PowerPoint, Outlook and Power BI
- Strong written and verbal communication skills, with the ability to produce clear, well‑structured papers and analysis
What you'll get in return
In return, you will receive a competitive salary along with a bonus and benefits. This role provides an excellent opportunity for someone to join a progressive and growing team which will offer you the chance to work across a variety of areas within the treasury.
What you need to do now
If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.
If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career.
Talk to Marios Georgiou, the specialist consultant managing this position
Located in London-City, 5th Floor, 107 Cheapside, Telephone 02034650138