Senior Treasury Manager – Liquidity & FX Lead (Abu Dhabi)
New Yesterday
A leading investment firm is seeking a mid-senior level treasury professional in the UK to manage payments, oversee cash flow, and ensure compliance with internal policies. The role entails performing bank reconciliations, preparing treasury reports, and managing banking relationships. The ideal candidate will have experience in treasury operations and a strong understanding of cash management. This full-time position provides an opportunity to influence financial strategies within an investment management context.
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- Location:
- England, United Kingdom
- Job Type:
- FullTime