Job Description
We’re excited to be partnering with a leading financial services business headquartered in the heart of Central London. Known for its innovation and rapid growth, this company is at the forefront of its industry and they’re looking for a Treasury Manager to help drive that momentum.
This is a fantastic opportunity to join a high-performing treasury team during a key phase of international expansion. You’ll step into a pivotal role, reporting directly to the Group Treasurer and leading the day-to-day treasury operations across the Group.
Key responsibilities:
* Manage global cash and liquidity to ensure funds are available where and when needed
* Design and implement FX risk management strategies to hedge currency exposures
* Drive continuous improvement across treasury processes, systems, and internal controls
* Oversee global banking relationships, negotiate terms, and optimise treasury infrastructure
* Collaborate with senior stakeholders, providing insights and strategic treasury support
What we’re looking for:
* AMCT or ACA qualification
* Proven treasury experience, ideally in financial services and multinational environments
* Excellent analytical and problem-solving skills, with strong attention to detail
* Advanced Excel skills (VBA essential; Power BI a plus)
* Hands-on experience with TMS and ERP systems
* Tech-savvy and confident working with data to develop in-house tools
* Python proficiency and ability to prototype analytical models or tools
This is an outstanding opportunity to join a growing, forward-thinking financial services firm with excellent career progression. Apply now!