Treasury Controller - Top UK Debt Issuer

Reading Permanent £85,000 - £110,000 per year View Job Description
Reporting into the Group Treasurer, this is an opportunity to step into a visible, influential role at the heart of one of the UK's largest and most complex corporates.
  • Working alongside the Group Treasurer on business-critical matters
  • Opportunity to work with a top corporate debt issuer in the sterling bond market

About Our Client

Our client a top corporate debt issuer in the sterling bond market and are one of the most significant corporate users of derivatives in the UK. This role offers unparalleled exposure to large-scale financing, complex instruments and strategic decision-making at the highest level.

Job Description

Key Responsibilities

  • Lead all treasury accounting and reporting, ensuring complex financial instruments are accurately reflected in interim and annual financial statements with high-quality disclosures.
  • Maintain IFRS technical oversight, ensuring compliance and accurate accounting entries across debt, derivatives and intercompany loans within the Treasury Management System.
  • Deliver budgeting and forecasting for interest, debt and cash positions, providing clear variance analysis and preparing required regulatory reports.
  • Manage half-year and year-end reporting, including preparation of IFRS statements, notes and disclosures for stand-alone and consolidated entities.
  • Own the Group Treasury annual budget and periodic forecasts, producing the monthly Treasury reporting pack with actionable insights for senior leadership.
  • Liaise with internal and external auditors, preparing judgement papers and supporting efficient audit processes alongside Finance and Tax teams.
  • Lead and develop a small team, ensuring strong controls, accurate reporting and high standards across Treasury accounting.



The Successful Applicant

  • ACCA/ACA qualified, with strong treasury and financial reporting experience gained in a complex environment.
  • Highly proficient in Excel, with familiarity in Treasury Management Systems and financial platforms such as SAP and HFM.
  • Shows a genuine interest in Treasury and an enthusiasm to deepen their technical expertise.
  • Comfortable with hands-on delivery, combining accuracy, rigour and strong attention to detail.
  • Works collaboratively with Treasury colleagues and wider finance teams, building strong cross-functional relationships.
  • A strong communicator and confident team leader, capable of developing effective relationships with key internal and external stakeholders.

What's on Offer

This role will provide you with the opportunity to:

  • Work with a leader in the sterling bond market and one of the most significant corporate users of derivatives in the UK
  • Work closely alongside the Group Treasurer on high-profile, business-critical matters
  • Gain unparalleled exposure to large-scale financing, complex instruments and strategic decision-making at the highest level



Benefits include:

  • Access to a professional nutritionist
  • GymPass membership with free fitness programmes and discounted plans nationwide
  • Generous pension scheme and life assurance
  • Enhanced Maternity, Adoption, Shared Parental and Paternity Leave
  • Paid time off for fostering, bereavement and neonatal leave
Contact
Rebecca Scuffam
Quote job ref
JN-112025-6891250
Phone number
+44 207 269 2171

Job summary

Job function
Treasury
Subsector
Treasury
Sector
Energy & Natural Resources
Location
Reading
Contract type
Permanent
Consultant name
Rebecca Scuffam
Consultant phone
+44 207 269 2171
Job reference
JN-112025-6891250