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This role gives the individual extensive Treasury exposure to the global Group from the City of London head office. Reporting to the Group Head of Treasury, this role plays a critical role within Group Treasury, responsible for the end‑to‑end management of treasury front office, including global treasury operations, cash and liquidity, foreign exchange and market risk, operational banking, funding support, and treasury projects.
Job Responsibility
Own Group cash and liquidity management (daily and medium term), ensuring optimal funding, visibility, and efficient deployment of cash globally
Oversee global cash positioning, forecasting, pooling, sweeping, and intercompany funding to minimise trapped cash and improve liquidity outcomes
Support and enhance the Group’s FX risk management framework, ensuring effective exposure management, hedging execution, and policy compliance
Oversee core treasury operations including daily cash and FX activity, settlements, intercompany netting, bank account management, guarantees, and letters of credit
Ensure robust treasury controls, documentation, and governance
maintain compliance with regulatory, audit, banking, and KYC requirements
Collaborate with the Group Head of Treasury to develop, maintain, integrate and monitor Global Treasury policies and internal controls to prevent fraud and protect company assets
Support with TMS administration, data integrity, enhancements, and integration with ERP platforms
Drive automation, standardisation, and continuous improvement of treasury processes and reporting
Deliver high‑quality treasury reporting, insights, and analysis for senior leadership, committees, and external stakeholders
Partner closely with Group Finance, Tax, FP&A, and business units, providing expert treasury advice and supporting strategic and transformational initiatives
Support treasury projects (e.g. cash pooling, netting, bank rationalisation, systems change) as required
Undertake ad hoc treasury responsibilities aligned to evolving Group needs
Requirements
Significant experience in an international corporate treasury environment, with responsibility across cash management, FX, banking, and treasury operations
Experience in delivering and implementing Treasury related projects with technical experience
Excellent communication, stakeholder engagement and influencing skills
Strong hands-on experience with Treasury Management Systems
Bachelor’s degree in Finance, Accounting, Economics, or related field
Advanced Excel skills
Self-starter and able to work in an organised and methodical way so that internal and external deadlines are met in a timely manner. Priorities can change daily, calling for someone who is diligent, organised and able to work under pressure
A practical hands-on attitude is required together with the ability and initiative to suggest and implement process change
Able to work effectively with people across all areas of the business and build effective working relationships