A leading global law firm in Manchester seeks a Treasury Operations Manager to oversee cash flow forecasting, manage intercompany loans, and lead a team of treasury analysts. The ideal candidate will have expertise in cashflow forecasting and variance analysis, and be part-qualified or qualified in ACCA, CIMA, or ACT. The role offers modern working conditions with a minimum 2 days in the office and competitive benefits including life assurance, season ticket loans, and wellness programs.
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