Jobs via eFinancialCareers is seeking a Treasury Operations Manager based in London to oversee cash flow forecasting, liquidity management, and banking operations. The ideal candidate will have a minimum of five years in a treasury role within a multinational environment. Responsibilities include improving treasury processes, managing banking relationships, and ensuring regulatory compliance. This position offers a hybrid working model with the flexibility to work from home two days a week and regular travel to the European HQ.
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