Treasury Manager
Employer Location Greater Manchester, England, Manchester Salary Up to £70000 Closing date 30 Jun 2026 View more categoriesView less categories Sector Salary band, Contract type Hours Where will they be working You need to or to save a job.
Job Details
Your new company
You will be joining a highly reputable, global organisation operating within the pharmaceutical sector. With a strong international footprint and a focus on innovation, the business is undergoing continued growth and transformation across multiple markets. Known for its robust governance and forward-thinking approach, the organisation offers a collaborative culture and a strong emphasis on financial discipline and risk management.
Your new role
As Treasury Manager, you will play a key role in overseeing the group's treasury operations,ensuring effective cash management, liquidity planning and financial risk mitigation across the business. Reporting into senior finance leadership, you will partner closely with stakeholders across finance, tax and commercial teams.
Key responsibilities will include:
1. Managing daily cashflow, liquidity planning and forecasting across the group
2. Overseeing banking relationships and supporting funding and refinancing activities
3. Monitoring and managing financial risks, including FX and interest rate exposure
4. Supporting the development and execution of treasury strategy and policies
5. Ensuring compliance with internal controls, governance frameworks and regulatory requirements
6. Driving improvements in treasury systems, processes and reporting
7. Supporting key projects, including M&A activity, restructuring and international expansion
8. Producing regular reporting for senior leadership, providing insight into treasury performance and risk
What you'll need to succeed
To be successful, you will:
9. Be ACT qualified or hold a relevant finance qualification (ACA / ACCA or equivalent)
10. Have demonstrable experience within a treasury function, ideally in a multinational environment
11. Possess strongknowledge of cash management, financial risk and treasury operations
12. Be confident managing stakeholder relationships across different geographies
13. Demonstrate stronganalytical skills and attention to detail
14. Have experience with treasury management systems and banking platforms
15. Be proactive, commercially aware and comfortable working in a fast-paced environment
What you'll get in return
In return, you will receive:
16. A competitive salary and comprehensive benefits package
17. The opportunity to join a global, market-leading organisation
18. Excellent exposure to senior leadership and strategic projects
19. Clear opportunities for career progression and development
20. Flexible, hybrid working arrangements
21. A collaborative and supportive team environment