Are you a treasury specialist who thrives in fast‑moving financial markets and enjoys shaping effective risk management strategies? We’re seeking a Finance Treasury Manager to join our Group Treasury team, where you’ll play a vital role in overseeing FX, inflation and commodity risk, as well as managing short‑term funding and liquidity across the business. Identifying emerging FX, inflation and commodity risks, and driving innovation in risk management Providing economic and geopolitical insight to senior leadership Executing financial derivative and commodity hedging transactions and ensuring accurate trade recording Managing short‑term cash, including deposits, borrowing and commercial paper issuance Funding Group companies via intercompany loans, equity injections and associated hedging ACT qualified or studying toward ACT (preferred) Experience in treasury or financial markets Strong understanding of how macroeconomic events influence FX and interest rates Excellent communicator with strong analytical and strategic thinking skills Sound judgement, integrity, and experience working within governance and risk frameworks