Hayfin Capital Management Logo

Hayfin Capital Management

Treasury Manager

Reposted 20 Days Ago
Be an Early Applicant
In-Office
London, England
Senior level
In-Office
London, England
Senior level
The Treasury Manager oversees liquidity management, debt operations, FX hedging, and implements treasury systems while ensuring compliance and reporting.
The summary above was generated by AI

As Hayfin grows and prepares to launch new products and fund structures, we are expanding our team to support this evolution. The Treasury Manager will play a key role in enhancing our operations platform and supporting the implementation of FIS Integrity.

We’re looking for a proactive and detail-oriented individual with strong organisational skills and a client-focused mindset. Experience in liquidity management within alternative asset management, including debt and FX, is essential. Familiarity with FIS Integrity is required.

This would initially be a 12 month FTC, reporting to the Head of Treasury, with a focus on liquidity management, debt facility operations, FX hedging, and treasury transformation initiatives.

Key Responsibilities

  • Liquidity Management: Lead daily cash forecasting and maintain a robust liquidity and funding framework. Monitor group-wide cash flows, ensuring sufficient funding for operations and investments.
  • Reporting: Produce accurate, insightful monthly treasury KPI reports for internal and external stakeholders.
  • Debt Facilities: Operate and monitor debt financing arrangements (ABL, Sub-Line, NAV). Assess borrowing capacity, manage debt usage, and ensure covenant compliance.
  • FX Hedging: Manage €30bn of fund-level FX exposures and execute hedging strategies to support investment performance.
  • Deal Pipeline: Liaise with deal teams to align liquidity planning with investment activity. Standardise liquidity reporting across stakeholders.
  • Payments: Oversee payment processing and approvals.
  • Data Governance: Uphold data integrity through strong processes and controls.
  • Risk & Controls: Maintain a risk-focused approach, ensuring compliance and operational resilience.
  • Treasury Systems: Support the implementation of FIS Integrity.
  • Stakeholder Support: Respond to internal and external queries related to cash, liquidity, and treasury processes.

Requirements
  • Proven experience in liquidity forecasting and cash modelling within private credit or private equity.
  • Track record managing complex treasury structures (e.g. pooling, fund hierarchies).
  • Strong understanding of financial markets, particularly in alternative investments.
  • Qualified or part-qualified treasury/accounting professional (e.g. DipTM, ACCA, CIMA).
  • Proficient in Excel, PowerPoint, and data visualisation tools (e.g. Power BI, Qlik).
  • Experience with FIS Integrity/Quantum.
  • Strong analytical skills, including cash flow modelling and scenario analysis.
  • Effective communicator, with a collaborative approach and stakeholder management experience.
  • Demonstrated ability to manage deadlines and prioritise tasks in a high-volume environment.
  • Change-oriented, with experience in process improvement and project delivery.
  • Minimum 5 years’ experience in treasury, cash management or finance operations within global capital markets or alternative investment management.

Top Skills

Excel
Fis Integrity
Power BI
PowerPoint
Qlik

Hayfin Capital Management London, England Office

1 Eagle Place, London, United Kingdom, SW1Y 6AF

Similar Jobs

Yesterday
Hybrid
London, Greater London, England, GBR
Senior level
Senior level
Fintech • Mobile • Payments • Software • Financial Services
Manage over £15bn in customer funds, develop investment strategies, conduct market analysis, collaborate with various teams, and ensure compliance with regulations.
Top Skills: Financial AnalysisRisk ManagementTreasury Management
4 Days Ago
Hybrid
London, Greater London, England, GBR
Senior level
Senior level
Fintech • Mobile • Payments • Software • Financial Services
The role involves leading Treasury risk management, enhancing internal controls, and collaborating with teams to implement effective policies and measures in compliance with regulations.
Top Skills: Sox ComplianceTreasury Risk Management
14 Days Ago
Hybrid
London, Greater London, England, GBR
Senior level
Senior level
Fintech • Mobile • Payments • Software • Financial Services
Lead the Safeguarding team in ensuring customer funds safety. Oversee technical systems, manage risks, collaborate across functions, and drive continuous improvement in regulatory compliance and operational workflows.
Top Skills: Data GovernanceFinancial Systems

What you need to know about the London Tech Scene

London isn't just a hub for established businesses; it's also a nursery for innovation. Boasting one of the most recognized fintech ecosystems in Europe, attracting billions in investments each year, London's success has made it a go-to destination for startups looking to make their mark. Top U.K. companies like Hoptin, Moneybox and Marshmallow have already made the city their base — yet fintech is just the beginning. From healthtech to renewable energy to cybersecurity and beyond, the city's startups are breaking new ground across a range of industries.

Sign up now Access later

Create Free Account

Please log in or sign up to report this job.

Create Free Account