Remote Treasury Manager — Global Cash & Liquidity

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A global organisation in the United Kingdom is seeking a Treasury Manager to oversee regional and global treasury operations. This remote position with one day in the office involves daily cash management, compliance activities, and maintaining banking relationships. The successful candidate will be detail-oriented and analytical, responsible for cash forecasting and risk management in a complex international environment. Key responsibilities include preparing cash flow forecasts, managing treasury operations, and ensuring compliance with regulatory standards. #J-18808-Ljbffr
Location:
Metropolitan Borough Of Solihull
Job Type:
FullTime