
Group Treasury Manager
- London
- £80,000 per year
- Permanent
- Full-time
- Manage global liquidity, ensuring optimal cash positioning and utilisation across all entities. Currently operating with around 15 banking partners and 250 bank accounts.
- Oversee forecasting, daily cash positions, intercompany funding, and short-term investments.
- Direct responsibility for managing cash worldwide.
- Lead banking relationship management and oversee FX exposure and hedging activities.
- Ensure compliance with internal controls and external regulations.
- Own and maintain the Treasury Management System (TMS), dealing platforms, and banking platforms.
- Act as the central point of contact for finance teams worldwide, supporting subsidiaries and corporate functions on treasury-related matters.
- Promote consistency and efficiency in treasury processes across the group.
- Challenge existing processes and propose innovative solutions to enhance treasury operations.
- Drive automation, process improvements, and digital transformation in cash and liquidity management.
- Degree in finance, accounting, economics, or a related discipline.
- ACT qualification (highly regarded)
- 5+ years of international treasury experience within a multinational corporate environment.
- Proven expertise in global cash and liquidity management.
- Strong FX risk management experience, including front-office dealing and hedging strategies.
- Demonstrated experience in project and change management within banking or cash management.
- Experience with Treasury Management Systems and multi-banking platforms.
- Exposure to intercompany netting and complex multi-entity banking structures.
- Opportunity to lead treasury in a complex, fast-growing, and technology-driven multinational.
- Direct reporting line to the Group Treasurer with high strategic visibility.
- Hybrid working arrangement in London.
- Competitive salary and benefits package.