Interim Treasury Manager
London
Posted 5 days ago
Early applicant
On-site
Full-time
Senior Level
Interim Treasury Manager Role Overview We are seeking an experienced Interim Treasury Manager to take responsibility for the Group’s treasury operations during a period of transformation and system implementation. The role will manage day‑to‑day treasury activities across the Group, including treasury accounting, cash management, debt and hedging, intercompany funding and bank relationship management. A key focus of the assignment will be supporting and embedding the implementation of the new Treasury Management System (Integrity). This is a hands‑on role requiring strong technical treasury expertise, attention to detail and the ability to work confidently with senior stakeholders, lenders and banking partners. Key Accountabilities Treasury Accounting & Hedging Prepare all monthly treasury accounting information required for journals, including: External term loans and RCF drawdowns Intercompany loans and interest (internal and external) Bank charges, commitment fees and accruals Interest rate swaps and other derivatives Perform mark‑to‑market valuations of all derivative instruments and prepare month‑end journals. Ensure accuracy, timeliness and audit‑ready documentation. Cash Management Monitor and manage daily cash positions across the Group. Implement day‑to‑day cash controls, short‑term cash forecasting and cash pooling processes. Ensure efficient cash movement while maximising returns on surplus cash. Utilise money market funds where appropriate and support the implementation of Group‑wide cash pooling. Monitor and manage restricted cash and debt‑related bank accounts (pledged, locked‑up, floating charge accounts). Debt & Bank Management Prepare semi‑annual compliance certificates, covenant calculations and lender reporting. Ensure timely delivery of budgets, management accounts and audited financial statements to lenders, coordinating with internal teams. Liaise with banks on a day‑to‑day basis, managing: Debt utilisation Interest and fee settlements Hedging, agency and commitment fees Oversee bank mandates and ensure compliance with KYC, AML and Treasury Policy. Maintain the Group bank account register. Oversee global banking platforms, ensuring user access and controls comply with Treasury Policy. Intercompany Funding Maintain the intercompany loan register and loan documentation. Lead the intercompany funding process to ensure adequate liquidity across all Group entities. Perform and oversee monthly intercompany loan reconciliations. Liaise with Legal and Tax teams to ensure intercompany arrangements are compliant and properly documented. Oversee monthly settlement of intercompany balances. Treasury Management System (Integrity) Ensure all treasury deals are correctly captured in the Integrity TMS. Support the Treasury team through all phases of the TMS implementation. Assist with testing, process alignment and embedding business‑as‑usual use of the system. Reporting & Forecasting Develop and produce key treasury reporting for senior management, including: Cash and liquidity reporting Interest and debt reporting FX exposure and hedging positions Intercompany loan positions Produce internal and external quarterly cash reporting. Develop and implement treasury risk management reporting. Support FP&A with cashflow forecasting and planning. Respond to treasury‑related queries from internal and external stakeholders. Qualifications & Experience Degree‑qualified with a professional finance or treasury qualification (AMCT, ACA or equivalent). 5+ years’ post‑qualification experience within a corporate Treasury function. Strong experience in: Cash and liquidity management Cashflow forecasting Borrowings, covenants and interest reporting FX exposure and hedging Experience working in an international group environment. Proven experience managing loans, including covenant compliance and lender reporting. Strong experience with Integrity (TMS) is highly desirable. Key Skills & Attributes Hands‑on, delivery‑focused treasury professional Strong technical accounting and controls mindset Able to operate confidently with senior management and external banks Organised, detail‑oriented and able to work at pace Pragmatic problem‑solver with strong communication skills Comfortable operating in an interim / change environment Why This Role? High‑impact interim assignment within a complex Group Exposure to senior stakeholders and lenders Opportunity to play a key role in a major TMS implementation Broad, end‑to‑end treasury responsibility As we continue to grow, more opportunities to join are becoming available and we're constantly on the lookout for talented people who want to be a part of our journey. If you don't see a suitable role that matches your skills and experience, but you would like us to consider you for future vacancies then why not Introduce yourself? Boldyn Networks is one of the world’s largest neutral host providers, delivering the advanced shared network infrastructure needed for a smart, inclusive, and sustainable future. From interconnected transit, venues and enterprises to smart cities and next-generation networks, we enable new possibilities in the way people live, work and play Our employees describing Boldyn Networks in one word...
Skills
Treasury management
Cash management
Treasury accounting
Debt management
Hedging
Intercompany funding
Bank relationship management
Integrity TMS
Financial reporting
Cashflow forecasting
Covenant compliance
Risk management
FX exposure
Liquidity management
Stakeholder management
Location
London