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.
As the Group Treasury Manager, you will be at the forefront of both strategic and operational finance, with a primary focus on optimising cash management, overseeing banking operations, managing FX exposure, cash pooling, and ensuring seamless reporting.
Take charge of treasury management with a role crafted to enhance and support the Group Finance Team through strategic financial leadership.
You'll also be responsible for managing the group's revolving credit facility.
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.
An exciting opportunity has arisen for an experienced Ledgers & Treasury Manager with AAT qualifications or substantial experience in a finance or accounting environment.
Posted by Michael Page Finance • £85K/yr to £110K/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-£110,000) 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.
Posted by BAYMAN ATKINSON SMYTHE LIMITED • £20K/yr to £200K/yr
The role will work with a talented Group Treasurer and be responsible for managing all the operational treasury risk management activities for the group.
Our client is a large global engineering company and we are seeking to fill the post of Treasury Risk Manager.
Treasury Risk Manager Preston or Knutsford or Barrow in-Furness Hybrid Competitive salary
Posted by Sterling Williams LTD • £40K/yr to £55K/yr
Main Responsibilities
Sterling Williams are working alongside an international bank, they are seeking a treasury analyst, the role will entail assisting the treasury function ensuring that it is profitable whilst adhering to all procedures set by the Bank and the regulators.
As Treasury Manager you will ideally need to be fully qualified and have previous experience with Cash flow forecasting, experience managing group or regional cash and funding, have team management experience and have experience with multi site / international businesses
Working with a leading solutions provider in their own industry I am looking to recruit an EMEA Treasury Manager.
Covering over 60 global offices and 45 countries - this is an exciting opportunity to work for a people business who pride themselves on transforming lives through the world of work
Group Treasury Manager Permanent £70,000 - £75,000 London, Hybrid
This role will support the group company and brands with the coordination of all treasury activities, in particular cash and liquidity management, banking rationalisation, FX exposure, cash projections, cash flow forecasting, and investment management.
For a large commercially focused charity in London, we're recruiting a permanent Group Treasury Manager.