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Treasury manager: cash flow, debt & strategy

London
Investigo
Treasury manager
Posted: 27 April
Offer description

A global leader in the FMCG sector is seeking a Treasury Manager in Greater London. In this role, you will oversee cash management and debt facilities, ensuring efficient use of funds. Responsibilities include cash flow forecasting, managing banking relationships, and developing strategies to optimize cash movements. The position offers hybrid working with only one day required in the office, alongside a generous benefits package including bonus and car allowance.
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