Logicor is a leading owner, manager, and developer of European logistics real estate.
Our portfolio of properties spans over 20 million square metres of warehouse space in key transportation hubs and close to major population centres, enabling us to support over 2,000 customers from a wide range of industries.
We are headquartered in London and Luxembourg with teams of people based across Europe in key markets, creating a strong network of relationships, market knowledge and experience to help provide our customers with the best solutions for their needs.
We believe that acting responsibly towards the environment, our people and towards the communities in which we operate is vital to the long-term success of our business and will bring positive and enduring change for our people, customers, and local communities.
Creating an open, honest culture is a key priority for us. Logicor is a fair, safe, and enjoyable place to work where we focus on developing our talent, ensuring health, safety and wellbeing, promoting responsible business conduct and engaging our people. We are an equal opportunities employer, and we embrace a diverse and inclusive environment and the benefits that it brings.
Our real estate and the strength of our network enables the flow of trade vital to everyday life. For more information visit .
Role OverviewThis role is responsible for (i) the day-to-day running of the function's cash management activities, (ii) driving improvements in liquidity and cash management and (iii) supporting the Group Treasurer in all financing and Debt Capital Market activity.
The Head of Liquidity & Market Risk will play a central role in driving the department towards a best-in-class Treasury function, working closely with the Group Treasurer and Head of Treasury Systems & Operations as a leader in the Treasury team. The role has a team of 3 and requires excellent leadership, as well as strong working relationships with colleagues in Tax, Accounting, Asset Management and Legal across multiple geographies.
The ideal candidate will demonstrate a strong track record of excellence in cash management - delivery in cash flow forecasting, rolling-out of liquidity solutions and effective TMS utilisation and enhancement. You will have a strong understanding of the unsecured bond market and be able to hit the ground running in supporting the Group Treasurer in our debt capital market activity. You will have experience in RCFs and bank loans, and trade finance products such as guarantee facilities. You will be comfortable in reviewing and understanding loan agreements and other banking documentation, as well as experience in working through Corporate Governance requirements.
You will bring your own ideas and proposals, make decisions in consultation with the Group Treasurer and CFO and be required to engage directly with, and communicate financing strategy to, senior management and shareholders.
Main Responsibilities: