We’re thrilled to be partnering with a cutting-edge, global Technology business headquartered in the heart of Central London. Renowned for innovation and rapid growth, this is a company shaping the future of its industry—and they’re looking for a Treasury Manager to help drive that momentum.
This is more than just a job—it’s a career-defining opportunity to join a high-performing finance team at a pivotal time of international expansion. You’ll be stepping into a key leadership role, reporting directly to the Group Treasurer and taking the reins of the Group’s day-to-day treasury operations. From strategy to execution, your work will have a real impact from day one.
What you'll be doing:
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Owning global cash and liquidity management—ensuring the right cash is in the right place, at the right time.
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Designing and executing FX risk management strategies to protect against currency volatility.
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Leading continuous improvements across treasury processes, systems, and controls.
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Managing global banking relationships—negotiating terms and optimising the treasury setup.
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Acting as a trusted partner to senior stakeholders across the business.
The ideal candidate:
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AMCT or ACA qualification preferred.
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Strong experience in treasury and cash management—ideally within a corporate or multinational setting.
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A sharp eye for detail with exceptional analytical and problem-solving skills.
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A collaborative mindset and top-notch communication skills—you’ll be working cross-functionally every day.
If you’re ready to take the next step in your treasury career with a company where innovation and ambition are celebrated—this is the one.