A leading global payment company is seeking a Treasury Manager to oversee and manage Treasury activities across its international entities. This role involves ensuring compliance and effective liquidity management while preparing reliable cash flow forecasts. Ideal candidates will have substantial experience in treasury risk management, strong Excel modelling skills, and an understanding of regulatory requirements. The role provides exposure to executive management and offers a competitive salary within the range of £64,000 to £80,000 per annum, depending on experience.
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