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Accounts Payable & Treasury Manager

Posted 1 day ago by Vitae Financial Recruitment Limited

The Opportunity

An established and growing organisation is looking to appoint an experienced AP & Treasury Manager on an 18-month fixed-term contract.

This is a broad and hands-on management role, responsible for overseeing the Accounts Payable and Treasury functions across a complex, multi-entity environment.

You will lead a small team, manage key operational processes and act as a senior point of contact for internal and external stakeholders.

The role offers excellent exposure to AP, treasury, banking, systems and process improvement, making it an attractive opportunity for someone who enjoys combining operational responsibility with team leadership.

Key Responsibilities

  • Lead, manage and develop a team of AP and Treasury professionals
  • Take ownership of the end-to-end Accounts Payable process, from invoice processing through to payment and reconciliation
  • Oversee payment runs, payment proposals and approval processes
  • Act as the escalation point for supplier queries, invoice issues and payment-related matters
  • Maintain accurate supplier and banking information, ensuring appropriate controls are followed
  • Oversee daily bank reconciliations and cash postings
  • Manage banking mandates, access and signatory requirements
  • Liaise with banks and internal stakeholders regarding banking administration and changes
  • Ensure appropriate controls and authorisation procedures are consistently maintained
  • Support month-end, quarter-end and year-end processes
  • Act as a key user for the organisation's ERP system, supporting users and contributing to system and process improvements
  • Build strong relationships with internal and external stakeholders
  • Manage multiple priorities across a complex, multi-entity portfolio
  • Identify opportunities to improve processes, controls and ways of working
  • Provide cover and support across the wider finance function when required

About You

We are looking for an experienced AP and/or Treasury professional who is comfortable managing both people and processes.

You will ideally have:

Strong experience across Accounts Payable / Purchase Ledger and Treasury

Previous experience managing or supervising a finance team

Good understanding of banking operations, payment processes and bank mandates

Experience working within a multi-entity environment

Strong attention to detail and a good understanding of financial controls

Experience with an ERP system; IFS experience would be advantageous

Excellent communication and stakeholder management skills

The ability to manage competing priorities and work to tight deadlines

A proactive approach to identifying and resolving issues

Strong Excel/data-handling skills

A recognised accounting qualification such as AAT, part-qualified ACCA/CIMA or equivalent would be advantageous.

What's on Offer

  • 18-month fixed-term contract
  • Hybrid working - 3 days per week in the Hemel Hempstead, Hertfordshire office
  • Competitive salary and benefits package
  • Opportunity to lead a team and take ownership of a broad AP & Treasury function
  • Exposure to a complex, multi-entity environment and significant process improvement activity
Rate:
Not specified
Location:
Hemel Hempstead
IR35 Status:
Fixed-Term
Remote Status:
Hybrid
Industry:
Finance & Strategy
Seniority Level:
Mid-Level

Take-Home Pay

Not Available

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