Save Job Back to Search Job Description Summary Similar JobsChance to join an active debt issuer driving sustainable financingOpportunity to build a career in Corporate Finance and TreasuryAbout Our ClientOur client is a major UK‑based organisation operating within a highly regulated, capital‑intensive environment. With a substantial multi‑billion‑pound financing platform, they manage a diverse debt portfolio and are entering a new phase of strategic funding activity. As an active issuer predominantly in UK markets, our client has ambitions to broaden market access and you will play a key role in making that happen.Job DescriptionWorking closely with Assistant Treasurer, you'll play a key role in supporting the funding strategy during a multi‑year refinancing programme (£c3bn). You will also support with liquidity management, treasury reporting and investor communications.You will:Support development of the long‑term financing strategy, including refinancing analysis and capital structure considerationsAssist with investor communications, contributing to how the organisation is positioned across debt marketsMaintain and enhance short‑ and medium‑term liquidity forecastsDeliver monthly and quarterly treasury reporting for senior stakeholdersSupport treasury compliance and governance activitiesProduce bi‑annual investor materials and help refine reporting style and contentWork cross-functionally to ensure consistent, high‑quality reportingIdentify opportunities to streamline processes, automate routine tasks, and strengthen analytical outputsContribute to ad‑hoc corporate finance and treasury projects, including rating agency work, documentation updates, and issuance supportThe Successful ApplicantEssential:Some exposure to treasury or corporate finance (industry, banking, or advisory)Strong Excel skills with proven financial modelling capabilityExperience preparing financial reporting, analysis, and commentaryAbility to communicate clearly and confidently with senior stakeholdersStrong analytical mindset and attention to detailGenuine interest in corporate finance, treasury, and debt marketsComfortable working in a fast‑paced, regulated environmentPreferred:Qualified accountant (ACA preferred), treasury professional (ACT), or CFAExperience improving processes, models, or reporting frameworksAbility to work independently, managing competing priorities effectivelyWhat's on OfferCompetitive salary ranging up £70,000 per annum.Opportunity to work in a leading debt issuer in the North EastA hybrid set up with 1 office day per week required (Tuesdays)Supportive professional environment focused on career development.Study support for AMCT availableAnnual bonus£2.5k Car AllowancePrivate healthcareUp to 12% pension contribution25 days' holiday + bank holidays + wellness dayLife assuranceFlexible benefits options (e.g., dental, critical illness, health cash plan, partner cover)Retail discounts, online GP service, cycle‑to‑work scheme, gym offersContactRebecca ScuffamQuote job refJN-022026-6950668Phone number+44 207 269 2171Job summaryJob functionTreasurySubsectorTreasurySectorEnergy & Natural ResourcesLocationLeedsContract typePermanentConsultant nameRebecca ScuffamConsultant phone+44 207 269 2171Job referenceJN-022026-6950668