Job Location : City of London, UK
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).
Salary : 85000 - 95000
Apply Now!