An innovative fintech firm at the forefront of financial disruption is looking for a Treasury Manager to lead its treasury operations. Based in London with flexible hybrid working, this role offers the opportunity to shape treasury strategy in a high-growth, fast-paced environment.
As Treasury Manager, you’ll take ownership of liquidity planning, drive operational efficiency, and play a key role in managing financial risk. This is a fantastic opportunity for a skilled treasury professional ready to step up and make an impact.
Key Responsibilities-
Lead day-to-day cash and liquidity management across the group
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Manage treasury operations, funding activities, and FX risk exposure
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Collaborate closely with finance, accounting, and operations to streamline processes
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Monitor cash flow trends and deliver insightful analysis to senior leadership
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Maintain and strengthen relationships with banking partners and key stakeholders
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Support improvements to treasury systems and controls
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Proven experience in a treasury function, ideally in fintech or financial services
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Strong technical knowledge of cash management, FX, and banking operations
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Exceptional analytical and problem-solving skills
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Confident communicator, comfortable working cross-functionally
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Proactive and adaptable, with a strong sense of ownership
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ACT qualification (or working towards) is advantageous
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Competitive salary + excellent benefits
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Hybrid working: Balance time between our London HQ and remote work
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Join a fintech that’s scaling rapidly and redefining the industry
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Real opportunities for career advancement in a growing treasury function
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Work in a collaborative, forward-thinking team that values innovation
If you're ready to take the next step in your treasury career and want to be part of a fintech success story, we’d love to hear from you. Apply now to join a business that’s changing the face of finance.