More about the role:
The Senior Treasury Manager will own the strategy, systems and processes for foreign exchange risk management, commodity hedging and other financial risk management. They will provide leadership and oversight to cash forecasting and daily cash management.
They will also manage larger adhoc projects (e.g. ancillary facilities, M&As, and capital markets/bond issues, financing and refinancing). They will build strong relationships with banks, transacting treasury deals in accordance with Treasury Policy to reduce risk and maximise value for the company.
The Senior Treasury Manager will provide technical leadership, coaching, and guidance to develop the capability of the Treasury team
Accountabilities:
Customer
- Provide expert advice on foreign exchange and other financial risk
exposure to the business.
- Deliver concise and accurate management information to explain cash
positions and risk exposures;
- Prepare and present elements of the Treasury Reporting pack to the Treasury Committee, as well as other papers to support business goals and strategy.
Colleague
- Provide leadership to the currency working group for the approval of strategic spend in foreign currency by the business;
- Provide specialist market insight and analysis
Operational
- Maintain strong bank relationships to secure maximum value from all treasury transactions.
- Gather, review and challenge foreign currency forecast requirements and develop hedging strategies to align the purchase of currency to policy;
- Provide technical support to the treasury team on financial hedging positions for energy requirements in accordance with Treasury Policy and the Energy Risk Management
- Framework and transact hedging according to market conditions and requirements;
- Ensure hedge accounting requirements are adhered to;
- Monitor the exposure to, and credit risk of, financial institutions, and ensure that these remains with the Treasury policy limits;
- Champion key treasury initiatives to speed up and simplify the Group Treasury function.
Sales, Profit and Cash
- Drive value through efficient cash, FX, and interest rate management; lower transaction costs; and optimise borrowing costs to directly protect and enhance profitability by cash, improving financial controls and delivering a quicker, more efficient close
- Create a restless culture of continuous improvement across the function to focus on service, costs, cash flow by involving colleagues in joint problem solving
More about you:
Knowledge
- Deep technical understanding of financial markets, derivative instrument mechanics and valuations;
- Thorough knowledge of Treasury systems and control frameworks;
- Professional Qualification in Treasury (AMCT or MCT);
- An accounting qualification would be an advantage.
Skills
- Strong negotiation skills to transact treasury deals with
relationship banks;
- Reporting and analysis;
- Numerate, articulate and able to maintain high quality and
accuracy whilst meeting deadlines;
- Ability to influence senior stakeholders and work constructively
with colleagues across the business at all levels.
Experience
- Experience working within a corporate or financial services
treasury function in a market facing role;
- Hedge accounting solutions and processes;
- Managing transactional foreign exchange risk;
- Cash flow forecasting;
- Implementation of Treasury Management Systems;
- Financing/refinancing
- Asset financing (including fleet management)
More about our perks
In return for all your hard work, you will receive:
- 15% discount in store from the day you join us
- Additional 10% discount card for a friend or family member
- Annual bonus scheme
- Career progression and development opportunities
- Generous holiday entitlement
- Market leading pension scheme and life assurance
- Healthcare benefits including Aviva Digital GP
- ‘MyPerks’ giving you discount with over 850 retailers
- Free parking onsite
- Enhanced Family, Maternity and Paternity Leave
- Private Healthcare
- Car Allowance / Company Car
Alive with activity, our modern Head Office is home to our corporate teams that make sure everything runs smoothly. Here, you’ll find comfy breakout areas, a coffee shop, Morrisons Daily and a subsidised restaurant. We are within commuting distance of Leeds, Manchester and the Yorkshire Dales - and we even have free parking!
At our Head Office you will expect to find supplier showcases, charity fundraising and celebrations all year round for the events that mean the most to our colleagues.
There’s more to our business as it’s fast paced and ever changing, as such we’ve got lots of fresh opportunities for you to play your part in our success. We’d love to meet you!
At Morrisons, we’re proud to be building a team that reflects the diversity of the communities we serve. We want every colleague to feel respected, supported and able to be themselves at work. Different voices, experiences and ways of thinking help us grow and improve and that’s good for our customers too.
We’re always looking for people from all walks of life to join us and bring their talents to our team. Together, we can build a workplace where everyone has the chance to thrive, make a difference and belong.
Skills Required
- Professional qualification in Treasury, such as AMCT or MCT
- Deep technical understanding of financial markets, derivative instrument mechanics, and valuations
- Thorough knowledge of Treasury systems and control frameworks
- Experience in a corporate or financial services treasury function in a market-facing role
- Experience with hedge accounting solutions and processes
- Experience managing transactional foreign exchange risk
- Experience with cash flow forecasting
- Experience implementing Treasury Management Systems
- Experience with financing and refinancing
- Experience with asset financing, including fleet management
- Accounting qualification
- Strong negotiation, reporting, analysis, influencing, and stakeholder-management skills
What We Do
Morrisons is a UK-based supermarket and integrated food business serving customers through a nationwide network of stores and online delivery channels. Its operations span grocery retail, wholesale, distribution, and food manufacturing. The company sells a broad range of fresh and packaged foods and emphasizes vertical integration, sourcing and processing about half of its fresh food itself, with a purpose of making good food affordable for everyone.
.png)





