United Kingdom
Group Treasury Manger | Treasury Leader | Cash Pooling & TMS Implementation |Card Payment Implementation| Automation | Global Cash Management | Process, Policy & Controls | Bank Management | Cash Flow Optimization | Compliance & Continuous Improvement | Business Partnership
In my current role, I lead Third Party & Customer Compliance Management at Ericsson Ltd. I have been instrumental in developing comprehensive risk assessment frameworks to proactively identify and mitigate compliance-related risks. It's all about enhancing the company's risk management strategy. I regularly conduct rigorous compliance audits and focus on clear communication to improve compliance procedures and minimise vulnerabilities.
As a Treasury Compliance SME, I closely monitored the Incoming Payments Compliance process and actively participated in the Policy Framework Team. Additionally, I played a key role in promoting a culture of compliance within the organisation. This role also provided me with the opportunity to contribute to sustainability initiatives and provide training support.
During my tenure as a Manager of Finance, I oversaw the establishment of 30 entities for Media Kind, skilfully navigating the complexities of financial transitions while aligning them seamlessly with the company's strategic goals. I maintained a client-centric approach, collaborating closely with Media Kind, understanding their specific requirements, and tailoring financial solutions accordingly.
As the Manager of Treasury, I successfully managed bank and credit operations on a global scale spanning 32 countries. I implemented robust treasury procedures and internal controls, cultivated strong banking relationships, and supported the Global Treasurer in shaping the business and strategic objectives for the Treasury organisation. My role involved monitoring cash positions, leading investing and borrowing activities, and implementing fraud prevention measures to optimise cash management functions.
In this role, I played a crucial part in supporting the business by ensuring the production of accurate financial and management accounting information. My responsibilities included compiling financial reports, conducting root cause analysis, and facilitating data-driven insights for stakeholders.