Group Treasury Manager

  • Location
    City of London, London
  • Contract Type
    Permanent
  • Posted
  • Industry
    Commerce and industry
  • Salary
    GBP90000 - GBP100000 per annum
  • Expiry Date
    2026-08-26

Are you a hands-on Treasury Manager looking for an opportunity to help shape and build a treasury function within a fast-growing international business?

I am supporting a fast-growing international consumer goods business that is looking to appoint a Group Treasury Manager as part of an exciting treasury transformation journey.

Working closely with the Group Treasurer, you will have the opportunity to lead high-profile treasury projects, influence strategic decisions, and drive best practice across a rapidly expanding international group operating throughout Europe.

The Opportunity

This is far more than a BAU treasury role. You will take ownership of major banking and cash management initiatives, support the centralisation of treasury activities, enhance cash visibility and forecasting, and contribute to the ongoing development of treasury infrastructure across the Group.

Key responsibilities will include:

  • Leading major banking projects, including the implementation of new banking arrangements and automated cash pooling structures across Europe.
  • Managing group cash balances, liquidity optimisation and short-term cash flow forecasting.
  • Supporting the development of group-wide funding structures and local financing arrangements.
  • Reviewing and enhancing FX risk management processes, exposure reporting and hedging activities.
  • Driving treasury transformation initiatives, including the potential implementation of a Treasury Management System (TMS).
  • Leading treasury process improvement projects, including intercompany netting and debt compliance management.
  • Providing regular treasury reporting to senior leadership, including the CFO and Board.

About You

We are looking for a treasury professional who combines strong technical expertise with a pragmatic and collaborative approach.

You will likely possess:

  • Proven experience within corporate treasury
  • Strong knowledge of cash management, liquidity planning and banking structures.
  • Experience of FX risk management and treasury operations.
  • Exposure to cash pooling, banking projects, treasury transformation or TMS implementation.
  • Excellent stakeholder management skills with the ability to influence colleagues across multiple countries and functions.
  • A proactive, hands-on mindset and a genuine desire to help build and improve treasury processes.

This is an opportunity to shape and develop a growing Group Treasury function within a dynamic, fast-paced international environment. It is an excellent platform for long-term career development.

Please note our advertisements use PQE/salary levels purely as a guide. However, we are happy to consider applications from all candidates who are able to demonstrate the skills necessary to fulfil the role.

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