Treasury Manager

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Our client, a fast-growing infrastructure business, is hiring a Treasury Manager to join their Finance function. This role sits within a developing treasury team and will support the management of a global portfolio, covering cash flow forecasting, liquidity management, debt operations, banking and FX hedging. Working closely with internal stakeholders, this position offers broad exposure across treasury activities in a scaling, international environment.

Key Responsibilities

Cash Flow & Liquidity Management

  • Own and update the 13-week cash flow forecast, partnering with business units to gather inputs
  • Analyse short-term liquidity positions to inform funding and investment decisions
  • Report cash positions and key insights to internal stakeholders and senior management

FX & Investments

  • Propose and execute FX trades to hedge risks identified through cash flow forecasting
  • Propose and execute surplus cash investment trades aligned to liquidity requirements
  • Monitor and report on FX hedge effectiveness and investment performance

Debt Operations & Execution

  • Manage utilisation, drawdowns and repayments across a global debt portfolio
  • Support refinancing activities and ongoing funding requirements
  • Work with internal teams to align funding timelines with operational needs

Banking & Relationships

  • Manage banking relationships and oversee account openings and closures
  • Support implementation and ongoing management of banking and FX platforms

Documentation & Compliance

  • Work with Corporate Finance and Legal teams to understand debt obligations
  • Review and interpret financing documentation, ensuring operational alignment
  • Monitor compliance with financial and information covenants

Stakeholder Management

  • Act as a key point of contact for lenders, banks and external agents
  • Collaborate with Treasury, Finance, Legal and wider business teams
  • Support coordination of funding, payments and reporting requirements

Process & Controls

  • Support the design and implementation of treasury and debt management processes
  • Identify opportunities to improve controls, reporting and operational efficiency
  • Contribute to broader Treasury and Corporate Finance initiatives

Experience & Skills

  • 4+ years’ experience in treasury operations, ideally within an international organisation
  • Exposure to cash flow forecasting, FX and liquidity management
  • Experience managing debt at an operational level, including familiarity with financing documentation
  • Strong stakeholder management and communication skills
  • Experience working with banking platforms and financial systems
  • Strong analytical skills with the ability to manage large datasets
  • Ability to operate effectively in a fast-paced and evolving environment

#J-18808-Ljbffr”, “datePosted”: “2026-05-07”, “hiringOrganization”: { “@type”: “Organization”, “name”: “Pearse Professionals”, “sameAs”: “https://uk.whatjobs.com/pub_api__cpl__425527623__4861?utm_campaign=publisher&utm_medium=api&utm_source=4861&geoID=33” }, “jobLocation”: { “@type”: “Place”, “address”: { “@type”: “PostalAddress”, “addressLocality”: “London” } } }
Company: Pearse Professionals
Apply for the Treasury Manager
Location: London
Job Description:

Our client, a fast-growing infrastructure business, is hiring a Treasury Manager to join their Finance function. This role sits within a developing treasury team and will support the management of a global portfolio, covering cash flow forecasting, liquidity management, debt operations, banking and FX hedging. Working closely with internal stakeholders, this position offers broad exposure across treasury activities in a scaling, international environment.

Key Responsibilities

Cash Flow & Liquidity Management

  • Own and update the 13-week cash flow forecast, partnering with business units to gather inputs
  • Analyse short-term liquidity positions to inform funding and investment decisions
  • Report cash positions and key insights to internal stakeholders and senior management

FX & Investments

  • Propose and execute FX trades to hedge risks identified through cash flow forecasting
  • Propose and execute surplus cash investment trades aligned to liquidity requirements
  • Monitor and report on FX hedge effectiveness and investment performance

Debt Operations & Execution

  • Manage utilisation, drawdowns and repayments across a global debt portfolio
  • Support refinancing activities and ongoing funding requirements
  • Work with internal teams to align funding timelines with operational needs

Banking & Relationships

  • Manage banking relationships and oversee account openings and closures
  • Support implementation and ongoing management of banking and FX platforms

Documentation & Compliance

  • Work with Corporate Finance and Legal teams to understand debt obligations
  • Review and interpret financing documentation, ensuring operational alignment
  • Monitor compliance with financial and information covenants

Stakeholder Management

  • Act as a key point of contact for lenders, banks and external agents
  • Collaborate with Treasury, Finance, Legal and wider business teams
  • Support coordination of funding, payments and reporting requirements

Process & Controls

  • Support the design and implementation of treasury and debt management processes
  • Identify opportunities to improve controls, reporting and operational efficiency
  • Contribute to broader Treasury and Corporate Finance initiatives

Experience & Skills

  • 4+ years’ experience in treasury operations, ideally within an international organisation
  • Exposure to cash flow forecasting, FX and liquidity management
  • Experience managing debt at an operational level, including familiarity with financing documentation
  • Strong stakeholder management and communication skills
  • Experience working with banking platforms and financial systems
  • Strong analytical skills with the ability to manage large datasets
  • Ability to operate effectively in a fast-paced and evolving environment

#J-18808-Ljbffr…

Posted: May 7th, 2026