Treasury Manager – £80,000–£90,000 – London - Hybrid (2-3 days in office)
We’re proud to be partnering with a leading financial services firm based in the heart of Central London. Renowned for its innovation and fast-paced growth, this company is a key player in its sector. They’re now seeking a Treasury Manager to support and drive their continued expansion.
This is a fantastic opportunity to join a high-performing finance team at a pivotal moment of international growth. Reporting directly to the Group Treasurer, you’ll take the lead on treasury operations and projects across the Group.
Key Responsibilities:
* Manage global cash and liquidity to ensure timely and efficient use of funds
* Develop and implement FX risk management strategies to hedge currency exposures
* Drive ongoing projects and enhancements to treasury processes, systems (including TMS), and internal controls
* Manage global banking relationships, negotiate terms, and strengthen the treasury infrastructure
* Work closely with senior stakeholders, offering insights and strategic treasury guidance
What We’re Looking For:
* AMCT or ACA qualified
* Demonstrated treasury experience, ideally within financial services
* Advanced Excel skills (VBA essential; Power BI a bonus)
* Expertise in TMS (FIS Integrity or Kyriba) and ERP systems
* Technically adept, with a data-driven mindset and experience building in-house tools
This is an exceptional opportunity to join a dynamic, forward-thinking financial services company with excellent career development prospects. Apply now!