Global Treasury Manager: Cash Flow, FX & Debt

Company: Pearse Professionals
Apply for the Global Treasury Manager: Cash Flow, FX & Debt
Location: London
Job Description:

Pearse Professionals is hiring a Treasury Manager in Greater London. This role supports the management of a global portfolio, focusing on cash flow forecasting, liquidity management, and debt operations. The ideal candidate will have over 4 years in treasury operations, with strong analytical skills and experience in stakeholder management. Responsibilities include managing banking relationships, proposing FX trades, and ensuring compliance with financial covenants. Join a growing team in an international environment with diverse treasury activities.#J-18808-Ljbffr…

Posted: May 7th, 2026