Treasury and Liquidity Manager

Company: ACCA Careers

Location: London

Posted: April 29th, 2026

This role is responsible for managing cash flow forecasting, treasury operations, and intercompany loan administration across the Group. You will ensure accurate liquidity management, minimise FX risk, support hedging requirements, and drive efficiency across global treasury processes.

The Team

You will join the Group Treasury function, working closely with colleagues across procurement, accounts payable, legal cashiers, tax, and financial controllership teams globally. You’ll also oversee treasury analysts in the UK, Europe and MENA regions.

Key Responsibilities

Essential Skills & Experience

What sets this role apart

What’s in it for you

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