I’m excited to be partnering with a global Technology business based in Central London on an exciting addition to their Treasury team. This is a fantastic opportunity to join a fast-growing, innovative company who are at the forefront of their industry. You will gain invaluable exposure to a fast moving and dynamic culture.
As the Treasury Manager, you will be reporting into the Group Treasurer and taking ownership for the Groups Treasury operations. This is a role that will offer professional growth and the chance to make an immediate impact.
Key Responsibilities:
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Managing group cash and liquidity management, ensuring optimal cash flow across global entities.
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Develop and implement FX risk management strategies to mitigate currency exposure.
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Drive business process improvements to enhance treasury operations and compliance.
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Manage banking relationships, negotiating terms and optimising treasury structures.
Requirements:
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Ideally AMCT or ACA qualified
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A strong background in cash management and treasury management.
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Preferably have corporate experience
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Excellent attention to detail, analytical skills, and problem-solving abilities.
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Strong communication and stakeholder management skills—this team is highly collaborative.
This role will offer a competitive base salary and generous wider benefits. Hybrid working 3 days pw in the office is required.