A highly acquisitive, international group is seeking a Treasury Manager to join its EMEA finance team, supporting a complex multi-entity structure. This is a broad, hands-on role with exposure to senior stakeholders and significant scope to drive process improvement. Reporting into a regional Head of Treasury, you will take ownership of group liquidity, cash management and FX risk across multiple jurisdictions. The position offers strong visibility across the business, with involvement in funding strategy, cash forecasting, and treasury transformation initiatives.
Key responsibilities include:
- Managing liquidity and funding across multiple currencies, optimising cash pooling and intercompany funding structures, and improving forecasting accuracy across the group.
- You will oversee FX exposure, execute appropriate hedging strategies, and take ownership of banking relationships, including negotiating terms and monitoring cost efficiency.
- The role also covers trade finance activities including guarantees, bonds and letters of credit, alongside supporting the ongoing development and automation of treasury systems and processes.
We are looking for candidates with a strong corporate treasury background, ideally within an international organisation. Experience across cash management, FX hedging and treasury systems is essential, with additional exposure to debt instruments or interest rate hedging seen as advantageous. Strong stakeholder management skills and a proactive, solutions-focused mindset are key.
This is an excellent opportunity for an ambitious treasury professional looking to step into a high-impact role within a growing and evolving international business.
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