Job Description
We’re excited to partner with a leading global technology company based in Central London. Known for its innovation and rapid growth, this organisation is transforming its industry and seeking a Treasury Manager to support its ongoing success.
This role offers a unique opportunity to join a dynamic finance team during a key phase of international expansion. Reporting directly to the Group Treasurer, you will lead the day-to-day treasury operations and play a vital role in shaping strategy and execution from the start.
Key Responsibilities:
* Oversee global cash and liquidity management to ensure optimal allocation and timing of funds
* Develop and implement FX risk management strategies to mitigate currency exposure
* Drive continuous enhancements in treasury processes, systems, and controls
* Manage global banking relationships, negotiating terms and optimising the treasury framework
* Collaborate closely with senior stakeholders across the business as a trusted advisor
Candidate Profile:
* AMCT or ACA qualification preferred
* Proven experience in treasury and cash management, ideally within a multinational or corporate environment
* Strong analytical skills with great attention to detail and problem-solving ability
* Excellent communication skills and a collaborative approach to working cross-functionally
If you’re eager to advance your treasury career in an innovative and ambitious company, this role offers a fantastic platform to make a significant impact.