Skip to main content

This job has expired

Treasury Operations Coordinator

Employer
Anglo American
Location
South West London, UK
Salary
Competitive
Closing date
Oct 22, 2019

View more

Job Role
Treasury
Sector
Finance
Contract Type
Permanent
Hours
Full Time
What you'll do Provide specialist treasury operations and technical accounting services involving corporate cash management, foreign exchange, interest rate, and funding trades and credit risk treasury activities ensuring robust controls exist over transactions and that deals are accurately and promptly recorded in accordance with accounting standards and the Group's Treasury risk management objectives Your key responsibilities will include: Managing the operations and processing of corporate treasury activities encompassing cash management, foreign exchange confirmation, accounting, reporting, approvals, and settlements Managing treasury transaction compliance with relevant legislation, accounting standards, and external regulatory authority requirements Managing the preparation, review, and distribution of Group Treasury report on a monthly basis Managing bond issuance accounting and settlement process including creating and maintaining new hedge relationships in accordance with IFRS Managing treasury related disclosure notes that feed into interim and annual external reporting Leading, managing, guiding and mentoring relevant treasury operation team members and ensuring efficient and well-controlled interface with the treasury front office team. Establishing and managing relationships with key corporate stakeholders and business unit staff including finance managers, tax advisors, and legal counsel Preparing treasury related accounting policy notes in conjunction with the Financial Reporting team as well as external auditors Providing advice and guidance to subsidiaries and business units on a broad range of treasury operational matters such as handling of funds, banking arrangements, transaction taxes, and treasury risk management. Managing the company's relationships with transaction banks and applicable financial counterparties Managing the company's relationships with external auditors Ensuring treasury operations adherence to relevant group policies. Writing, structuring and presenting appropriate proposals for corporate initiatives and/or board approvals on various strategic treasury initiatives and ad hoc projects. What we're looking for A team player with a focus on outcomes, you'll need: Specialist treasury management knowledge of interest rate-, foreign exchange-, commodity- and derivatives markets and risks. Advanced understanding of treasury accounting principles Significant post qualification experience as a treasury manager or financial manager. Treasury systems and financial reporting experience Degree education in a relevant field It would also be an advantage if you have: post-graduate financial qualifications such as ACA, ACT or CFA Who we are Anglo American is a globally diversified mining business. Our portfolio of world-class mining operations provides the metals and minerals that make modern life possible. We use innovative practices and the latest technologies to discover new resources and mine, process, move and market our products to our customers around the world. As a responsible miner - of diamonds (through De Beers), copper, platinum and other precious metals, iron ore, coal, and nickel - we are the custodians of what are precious natural resources. We work together with our key partners and stakeholders to unlock the sustainable value that those resources represent for our shareholders, the communities and countries in which we operate and for society at large. Anglo American is re-imagining mining to improve people's lives. What we offer When you join Anglo American, you can expect to enjoy a competitive salary and benefits package. But more than this, you'll find yourself in an environment where the opportunities for learning and growth are second to none. From technical training to leadership programmes, we bring out the best in our people. There are plenty of opportunities to move onwards and upwards too. We're a large, successful multinational company and we're still growing all the time. About the business unit, you will support Group Treasury provides essential risk management services to support Anglo American's evolving investment decisions and business activities. The team operates in a high performance, collaborative environment with outputs that materially affect all major parts of our operations. Team members are provided opportunities to deliver projects that have a significant impact and to take up opportunities to grow and develop within the wider Group Finance function. How we are committed to your safety We take the safety of our employees very seriously and as a company, we demonstrate the most rigorous safety standards in the industry. How to apply To apply for this role, please click the apply button and complete our online application form. You will have the opportunity to upload your CV and other relevant documentation as part of this process. We are committed to promoting an inclusive and diverse workplace where we value and respect every colleague for who they are and provide equality of opportunity so that everyone can fulfill their potential.

Get job alerts

Create a job alert and receive personalized job recommendations straight to your inbox.

Create alert