- Location
- London - 1 Embankment Place, United Kingdom
- Type
- Full-time
- Department
- Finance
- Clearance
- Not required
- Source
- Workday
Description
Line of Service
AssuranceIndustry/Sector
Not ApplicableSpecialism
AssuranceManagement Level
AssociateJob Description & Summary
Open to SA2
Locations London EP
Qualifications ACA, ACCA (or international equivalent)
Closing Date 31st July, 1200
Role Summary
Our Treasury & Commodities (T&C) practice supports clients across sectors with complex treasury, risk, accounting, derivatives, and commodity related challenges. We work across advisory and audit, helping clients navigate financial instruments, hedge accounting, liquidity, commodity risk, and treasury operations. This role sits at the heart of our client delivery, requiring analytical strength, relationship building and a global, tech-enabled mindset.
In the UK, we have the Global Firms largest concentration of expertise including former Treasurers, Analysts, Risk Managers, Traders, IT Specialists and Finance professionals.
As a Senior Associate, your work will focus on supporting the services we provide on audits of our iconic clients’ Treasury and Commodity Trading activities, but you will have the opportunity to work on our advisory projects.
Key Responsibilities
Providing specialised treasury & commodity trading external audit and internal support;
Reviewing and implementing governance, controls and risk management policies of treasury (including cash management) and commodity trading operations;
Advising on FX and commodity risk management including the use of hedging strategies;
Involvement in the treasury and commodity trading aspects of transaction/M&A related projects including analysing the impact of FX and commodity prices on a business as well as helping to set up treasury and commodity trading functions;
Using and developing digital tools and technology to enhance analysis and deliver more effective outcomes; and
Coaching and collaborating effectively across multidisciplinary teams.
Required Experience & Skills
ACA / ACCA qualified or international equivalent
Audit experience
Excellent written and verbal communication skills; able to produce client-ready deliverables independently. Collaborative mindset and experience working in multidisciplinary teams
Ability to manage multiple priorities and work under pressure
Desirable skills
Audit of treasury / cash activities / commodity trading clients
Familiarity with digital tools, automation and data visualisation
Familiar with using or building financial or other types of business models
Education (if blank, degree and/or field of study not specified)
Degrees/Field of Study required:Degrees/Field of Study preferred:Certifications (if blank, certifications not specified)
Required Skills
Optional Skills
Accepting Feedback, Accepting Feedback, Accounting and Financial Reporting Standards, Accounting Policies, Active Listening, Budgetary Management, Capital Budgeting, Capital Structure, Cash Flow Forecasting, Commodities Analysis, Communication, Compliance With Accounting Standards, Corporate Finance, Divestitures (Business Law), Emotional Regulation, Empathy, Finance and Treasury, Finance Target Operating Model, Financial Forecasting, Financial Management, Financial Modeling, Financial Need Analysis, Financial Review, Financial Risk Management, Financial Strategy {+ 13 more}Desired Languages (If blank, desired languages not specified)
Travel Requirements
Not SpecifiedAvailable for Work Visa Sponsorship?
NoGovernment Clearance Required?
NoJob Posting End Date