Are you an experienced Treasury professional looking for your next big step? This is an exciting opportunity to join a global organisation as a Senior Group Treasury Manager, overseeing cash management, funding and treasury operations across international markets. You'll play a key role in ensuring liquidity, driving hedging strategies, and leading treasury systems - while managing banking relationships and supporting senior stakeholders. What You'll Be Doing Lead weekly cash-flow forecasting and liquidity planning. Design and implement hedging strategies for FX and interest rate exposures. Manage intra‑group cash movements and debt structures. Build strong banking relationships and oversee global cash management. Develop and optimise treasury systems (e.g. Bloomberg, e‑banking platforms). Lead and develop a small treasury team, ensuring best practice. What We're Looking For 10 years' Treasury experience (front to back office). Proven background in finance, accounting and tax. Hands on experience with treasury systems and cash management. Strong stakeholder management skills. AMCT / ACT qualification (preferred).