Treasury Manager | Doncaster
Looking for a role where you can take ownership of cash, liquidity and financial strategy at a group level?
Sharp Consultancy are supporting a highly reputable, forward‑thinking organisation in the search for a Treasury Manager to join their central finance function. This is a key role within the business, offering real visibility across senior leadership and the opportunity to directly influence financial stability and planning.
This is a hands‑on yet strategic position, ideal for someone who enjoys combining technical treasury work with business partnering and insight.
The Role:
- Manage group cashflow forecasting and short-term liquidity planning
- Oversee banking relationships and day‑to‑day treasury operations
- Monitor and optimise working capital across the business
- Produce scenario analysis to support strategic decision‑making
- Work closely with senior stakeholders to support financial planning and control
- Support financial reporting and audit requirements relating to cash and treasury
About You:
- Qualified (ACCA/CIMA) or qualified by experience
- Background in treasury, finance, or broader accounting roles with exposure to cash management
- Strong communication skills with the ability to engage senior stakeholders
- Commercially minded with a proactive, problem‑solving approach
- Comfortable working in a fast‑paced, evolving environment
- Highly organised with strong attention to detail
What’s on Offer:
- Competitive salary and bonus scheme
- Hybrid working
- Strong benefits package and employee perks
- Genuine development and progression opportunities
If you’re ready to step into a role with real responsibility, visibility, and impact — this could be the next step for you.
Apply now or contact us for a confidential discussion. Referrals always welcome.
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