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Corporate Finance Manager
Job in
Greater London, London, Greater London, W1B, England, UK
Listed on 2026-06-14
Listing for:
Haleon
Full Time
position Listed on 2026-06-14
Job specializations:
-
Finance & Banking
Corporate Finance, Financial Manager, CFO -
Management
Financial Manager, CFO
Job Description & How to Apply Below
## Corporate Finance Manager Apply locations:
London Banksidetime type:
Full time posted on:
Posted Todaytime left to apply:
End Date:
June 19, 2026 (29 days left to apply) job requisition :
543014
Welcome to Haleon. We’re a purpose-driven, world-class consumer company putting everyday health in the hands of millions. In just three years since our launch, we’ve grown, evolved and are now entering an exciting new chapter – one filled with bold ambitions and enormous opportunity.
Our trusted portfolio of brands – including Sensodyne, Panadol, Advil, Voltaren, Theraflu, Otrivin, and Centrum – lead in resilient and growing categories. What sets us apart is our unique blend of deep human understanding and trusted science.
Now it’s time to fully realise the full potential of our business and our people. We do this through our Win as One strategy. It puts our purpose – to deliver better everyday health with humanity – at the heart of everything we do. It unites us, inspires us, and challenges us to be better every day, driven by our agile, performance-focused culture.
** About the role
** The Corporate Finance team responsibilities can be split broadly into two categories, externally and internally focused. Externally, the team manages Haleon’s debt capital structure, funding strategy, and liquidity risk; as well as responsibility for managing relationships with external stakeholders including banks, credit rating agencies and debt investors. Internally the team has responsibility for group forecasting, management and external reporting related to net debt, leverage, net finance costs and other Treasury metrics.
This also includes responsibility for coordinating materials for Haleon’s Treasury Risk Committee, chaired by the CFO.The Corporate Finance Manager has operational (day-to-day) responsibility for most of the activities mentioned above but should have the technical and written skills to contribute to the development of future financing strategies and the preparation of Board committee documents, ultimately supporting the Corporate Finance Director in making informed and faster decisions in the execution of Treasury strategy.
** Key responsibilities
*** Treasury forecasting and reporting:
Develop and maintain free cash flow, leverage and net finance cost models to support annual and long-range plans; monthly, quarterly and annual management reporting; and Treasury funding and liquidity planning scenarios for the Haleon Group. Collaborate with FP&A, Treasury Accounting, Treasury teams and Corporate Development.
* Project management:
Lead projects to execute Corporate Finance activities, coordinating internal and external stakeholders to deliver best-in-class execution, including progress reporting to Treasury leadership.
* Debt capital markets:
Support the CF Director in the negotiation and update of external funding facilities (including Revolving Credit Facilities, EMTN programme and US shelf registration) and manage compliance and maintenance activities (e.g., covenant compliance). As required, support the CF Director in the execution of group financing (e.g., bond issuance, acquisition financing). Collaborate with external counsel, coordinating banks, Co-Sec, IR, Tax and Finance teams.
* Management reporting:
Support the CF Director in preparing CFO board reports and external HY/FY results presentations, and coordinate materials for each Treasury Risk Committee (TRC) meeting. Collaborate with FP&A, Treasury teams and IR.
* Credit rating agencies (CRA):
Develop and maintain an accurate internal credit rating model; prepare internal briefing materials related to project financing or sensitivity scenario analysis; and manage day-to-day engagement with CRAs, including provision of routine information. Collaborate with IR, Strategy and Corporate Development.
* Share buybacks (SBB):
Support the CF Director in execution of the SBB strategy by project managing buybacks, including progress reporting to senior leadership and developing insights to refine and improve future buybacks. Collaborate with Co-Sec, external counsel and the SBB broker bank.
* Debt investor relations:
Track execution of the debt investor…
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