
Location
3rd Floor, Guildhall, West Wing, Gresham Street, London
Hours
Full Time - 35 hours per week, Monday to Friday, 9:15am – 5:00pm with a 45-minute lunch break
Salary
£59,060 - £66,670 Inclusive of London Weighting
About the Role
Are you an articulate, experienced finance professional who can flourish in a large, complex organisation and who is credible in front of senior officers and elected officials? Would you relish the opportunity of being involved in treasury management? Are you passionate about combining the highest levels of customer service whilst also delivering on challenging output-based performance targets? Would you like to work for a fascinating organisation, combining ancient traditions and historic functions with its role as a modern local authority at the centre of the Capital, serving the ‘Square Mile’ and providing services that have local, regional, and sometimes national significance?
If so, an exciting opportunity has arisen within the Corporate Treasury team of the Chamberlain’s (Finance) Department. Reporting to the Group Accountant (Treasury & Investments), the successful applicant will ensure the Corporation’s treasury management strategy is implemented effectively on a daily basis; provide high-quality financial reporting for all treasury activities across the organisation; and work with our Corporate Accountancy team to ensure borrowing requirements are managed effectively. The post holder will also administer the current HRA Service Charge Loan portfolio and will be expected to maintain appropriate relationships with key advisors, our Bankers, external auditors and other partners.
You will be a fully qualified accountant, with a sound knowledge of the key issues around treasury management and be able to provide clear professional advice to senior officers and Members.
The City of London Corporation is currently undergoing a programme to ensure that our pay and reward practices are competitive and equitable across the whole organisation, to ensure that everyone has the opportunity to thrive in the work that we do.
Experience
Proven experience as a qualified accountant with a strong understanding of treasury management principles and practices. Experience working in a large, complex organisation and providing financial advice to senior officers and elected officials is essential.
About you
You are articulate, professional, and able to build and maintain effective working relationships with internal and external stakeholders including key advisors, bankers, and auditors. You are committed to delivering excellent customer service while meeting challenging performance targets. You are adaptable and able to work effectively within a hybrid working environment.
Qualifications
Fully qualified accountant (e.g. ACA, ACCA, CIMA or equivalent) with demonstrable knowledge of treasury management.


