We have partnered with a well know brand who are seeking a Treasury Manager on a 12 month fixed term contract to lead their daily operational treasury functions.
The function of the role will be to enhance financial controls, ensure compliance with overall treasury policy, and to pursue best practices within the team.
The role will encompass: Liquidity management, foreign currency management, payments, reconciliations, accounting and reporting.
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.
As the Group Treasury Manager, you will play a key role in optimising cash flow, managing group liquidity, and taking ownership of the group's treasury accounting obligations.
Step into a pivotal role at a leading financial services firm in London, with an exciting growth trajectory designed to elevate the capabilities of their Group Treasury team.
You'll also provide guidance to junior staff as they work to achieve the organisation's financial objectives.
Posted by Michael Page Finance • £50K/yr to £60K/yr
This Treasury Analyst position is a key front-office role where you'll manage liquidity, execute trades, and navigate foreign exchange risks while collaborating with senior treasury leaders.
This opportunity allows you to make a meaningful impact on financial operations and drive process improvements in a dynamic, fast-paced environment.
Our client is a global leader in their industry, known for delivering innovative solutions that enable businesses to streamline processes and drive growth.
Posted by Accountable Recruitment • £34K/yr to £40K/yr
Treasury Manager / £40,000 / Deeside area
Accountable Recruitment are currently recruiting for a Treasury Manager to join an exciting business based in Deeside as they grow their UK entity of the business.
The position involves assisting the Finance Director & Manager with various tasks such as identifying areas of investment, as the business continue with their rapid growth.
Posted by Michael Page Finance • £85K/yr to £100K/yr
The Senior Treasury Manager will lead global treasury operations, overseeing cash management, liquidity forecasting, and foreign exchange risk, while driving process improvements and managing key banking relationships.
This dynamic role, based in London with hybrid working, offers a competitive salary (£85,000-£100,000) and a focus on career development in a fast-paced, collaborative environment.
Our client is a global leader in their industry, renowned for providing cutting-edge solutions that help businesses streamline and enhance processes and drive sustainable growth.
Robert Half are pleased to be working with a business with offices in both London and Wakefield in the recruitment of a Treasury Manager on an interim basis.
Provide administration support to the Investment Committee with all aspects of investment portfolios, including Quarterly performance reporting and fund administration.
You will be working predominately from home but must be able to travel to both the Wakefield and the London office as required
Posted by Hays Specialist Recruitment Limited • £46K/yr to £49K/yr
Hays are currently partnering with a government organisation based in Warwickshire, who are looking for a Treasury Manager to join their team on a permanent basis