Group Treasury Manager - Liquidity & FX Leader (Hybrid)

9 Days Old

A leading professional services organisation in London is seeking an experienced Group Treasury Manager to oversee treasury operations and enhance financial management. This hybrid position involves managing cash flow, monitoring foreign currency exposure, and developing treasury policies. The ideal candidate will be qualified in treasury practices and possess strong analytical skills. This role offers a salary of £75,000 – £85,000 per annum and a collaborative work environment. #J-18808-Ljbffr
Location:
England, United Kingdom
Job Type:
FullTime