Menzies Aviation, based in Greater London, is seeking a Treasury Manager (Cash) responsible for managing liquidity and banking relationships to ensure financial resilience. You will oversee the daily cash position and cash pooling arrangements, supporting strategies for cash repatriation in a multi-currency environment.
The ideal candidate is a qualified accountant with proven experience in treasury management, strong analytical skills, and the ability to forecast effectively. This is an excellent opportunity to play a key role in the global aviation industry.
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