Senior Treasury Manager Birmingham Up to £95,000 benefits Hybrid working This is a fantastic opportunity to join a dynamic, rapidly expanding yet well-established international organisation. Working across a diverse portfolio of businesses - this role offers real breadth, influence and exposure at group level. You'll collaborate closely with colleagues across finance, tax and legal, while playing a central role in cash flow management, debt strategy and hedging activities across international operations. Key Responsibilities include:- Cash Flow & Liquidity Management Capital, Debt & Treasury Strategy Risk Management & Hedging Capital & Debt Structures Banking, Systems & Strategic Support About You:- Professional Qualifications ACA, ACCA or CIMA qualified, with extensive relevant experience Technical & Commercial Skills Excellent Excel skills and familiarity with Treasury Management Systems Experience working within international group structures Hands-on, delivery-focused approach High levels of accuracy and attention to detail Collaboration & Stakeholder Management Comfortable working cross-functionally Able to build strong relationships with internal and external stakeholders Why Apply? This role offers the chance to make a genuine impact within a fast-growing international group, working across varied businesses and playing a pivotal role in treasury strategy, cash management and financial risk mitigation. An excellent opportunity for a commercially minded treasury professional looking to operate at group level in a complex, evolving environment