Posted by Michael Page Finance • £60K/yr to £70K/yr
The Treasury Manager will oversee daily treasury operations, including cash management, forecasting, and risk management, while driving continuous improvements in processes and systems.
This role offers a unique opportunity to contribute to strategic financial initiatives and lead a team within a dynamic, global organisation.
Our client is a prominent and highly regarded international business who are dedicated to a greener future.
Posted by Michael Page Finance • £70K/yr to £80K/yr
The Treasury Manager will play a pivotal role in managing the company's financial assets and investments, contributing to the overall financial strategy within the energy and natural resources industry.
This role is based in London and requires a proactive professional with a strong knowledge of cash forecasting, debt management, FX and liquidity management.
Our client is a reputable firm in the energy and natural resources sector, with a workforce of over 1000 spread across 30 countries.
We are seeking a dedicated individual to support the Client Account Director in ensuring the smooth operation of the department, providing a high level of service to clients.
The role involves reconciling client bank accounts in accordance with ARMA guidelines, processing daily receipts and payments, and maintaining compliance with all ARMA requirements.
Posted by Gleeson Recruitment Group • £65K/yr to £70K/yr
General
Our client, a prestigious company based in the West Midlands, is seeking an experienced Treasury Manager to join their finance team.
This is an excellent opportunity for a qualified accountant who is passionate about treasury management and looking to make a significant impact within a dynamic, market-leading organisation.
As Treasury Manager you will be responsible for the following
Manage and oversee the company's treasury operations, including cash flow forecasting, liquidity management, and relationships with banks.
Reporting to Assistant Group Treasurer, the individual will be required to be involved in a varied range of activities covering all aspects of treasury management, including daily cash liquidity, forecasting, debt, and FX risk management, all under a SOX control umbrella as a result of Nomads NYSE listing.
General
As part of the wider Business transformation project (and treasury transformation within it), the Nomad Treasury team is implementing a new TMS S/4 Hana.
This role will be required to ensure stability of operation during that period, whilst also being expected to be part of the change in ways of working / TMS development.
Posted by Michael Page Finance • £90K/yr to £120K/yr
A Head of Treasury role offering an exciting opportunity to build and lead the treasury function for a rapidly expanding, Private Equity-backed global manufacturing business.
Based in London, you will play a pivotal role in shaping treasury strategy, overseeing cash and liquidity management, and supporting the company's ambitious growth across Europe.
Our client is a rapidly expanding manufacturing business, strategically positioning themselves in the UK with a new London office.
An exciting opportunity has arisen for an experienced Group Treasury Manager/Accountant to join a fast-paced, dynamic financial services organization based in West London.
This interim role is for a minimum of 3 months, with the strong potential to become permanent.
Altum Consulting are supporting a global technology business to recruit a new Treasury Manager to create a standalone function and take the management of treasury to the next level.
Key Responsibilities
Setting and reviewing treasury strategy, processes, policies, and controls in collaboration with the Group Financial Controller and Chief Financial Officer.