Hybrid Treasury jobs in Commerce and industry
Global Commodities Risk Manager
Global Commodities Risk Manager Salary: €100-125k + car + bonus + excellent secondary benefits Location: Randstad, Netherlands – relocation available Open to international candidates Role Overview We are seeking an experienced Global Commodities Risk Manager to lead governance, controls, and analytics across international commodities exposure. This is a senior role requiring proven experience in market […]
FX & Cash Manager
FX & Cash Manager Multinational Consumer Goods Group Location: Woking (Hybrid) Function: Group Treasury – Front Office Join a leading multinational consumer goods group with a premium portfolio of globally recognised brands. The business combines strong heritage with a forward‑looking mindset, driving transformation, operational excellence, and disciplined financial management across Europe and international markets. We […]
Treasury Analyst
Treasury Analyst Location: Central London (Hybrid – c. 3 days office) Salary: £32,000 – £36,000 per annum Type: Permanent A growing retail group in Central London is seeking a motivated Treasury Analyst to join its Group Finance function. This is an excellent opportunity for an individual early in their finance career who is eager to […]
Principal – Financial Markets team
Execute the Group’s dealing activities in liquidity, foreign exchange and interest rate derivatives with a focus on liquidity investments and interest rate derivatives optimization. Monitor liquidity, currency and rates markets, refine market intelligence and present strategies within the team and Group Treasury. Lead financial market product development innovation, from assessment to internal business case approval […]
Deputy Treasurer
Role Overview A global insurnace business are hiring a newly created Deputy Treasurer position. This position plays a key strategic role in supporting senior leadership by owning long‑term cash forecasting, contributing to corporate finance initiatives, and strengthening treasury operations. This position is critical to the organisation’s growth trajectory, particularly as it continues to pursue an […]
Treasury Analyst
Key Responsibilities Oversee and maintain systems, processes, and controls that support the bank account structure and daily cash operations. Monitor financial counterparty risk, provide required reports, and escalate concerns promptly. Perform daily cash reconciliations within the Treasury Management System (TMS), ensuring balances match uploaded bank statements. Prepare, validate, and distribute daily cash dealing positions in […]