CrawlJobs Logo

Treasury Manager

United Kingdom · Job Posted December 08, 2025
Apply Position
Job Link Share

Job Description

Join us and help power Giacom’s growth with smart, strategic treasury leadership. Giacom is looking for a strategic and forward-thinking Treasury Manager to lead the evolution of our treasury function. This is more than an operational role. It’s a chance to influence long-term financial health, drive value creation, and ensure resilience in a rapidly changing market. As our Treasury Manager, you’ll work closely with senior leadership to develop funding strategies, optimise liquidity, and manage financial risk. You’ll lead on everything from cash flow modelling and banking relationships to advising on capital structure and market trends. This is a high-impact, individual contributor role with cross-functional collaboration at its core.

Job Responsibility

  • Designing and delivering Giacom’s treasury strategy
  • Advising on funding, investment, and capital structure
  • Managing cash positioning, liquidity forecasting, and compliance
  • Building strong relationships with banks, external advisors, and internal stakeholders
  • Leading treasury input into strategic projects like M&A and refinancing

Requirements

  • Degree in Finance, Economics, or a related discipline
  • Proven treasury leadership experience in complex environments
  • Strong understanding of capital markets, financial instruments, and risk management
  • Excellent stakeholder engagement and influencing skills
  • Analytical expertise and experience with treasury systems

Nice to have

ACT, CFA, or accountancy qualifications

What we offer

  • Flexible working
  • No dress code
  • 25 days annual leave, plus bank holidays
  • Birthday off
  • A pension plan
  • Complimentary breakfast, lunch, snacks and drinks in all our offices

Looking for more opportunities?

Search for other job offers that match your skills and interests.

Similar Jobs for

Treasury Manager

8 matching positions

New

Treasury Manager

An exciting opportunity has arisen to join a highly regarded treasury function w...
Location
Location
United Kingdom , London
Salary
Salary:
70000.00 - 90000.00 GBP / Year
goodmanmasson.com Logo
Goodman Masson
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Treasury, corporate finance, banking or capital markets experience
  • Professional qualification such as ACT, ACA, CFA or equivalent
  • Strong analytical and financial modelling skills
  • Advanced Excel skills with experience of treasury systems and reporting tools
  • Excellent communication and stakeholder management abilities
  • A proactive mindset with the ability to manage multiple priorities in a fast-paced environment
Job Responsibility
Job Responsibility
  • Support the execution of funding transactions across a range of debt products and financing structures
  • Assist with the evaluation of financing opportunities and preparation of investment and approval papers
  • Support debt issuance programmes and ongoing funding requirements
  • Contribute to lender, banking and external stakeholder relationships
  • Lead cash forecasting and liquidity management activities
  • Monitor financing facilities and support effective utilisation of available funding resources
  • Produce treasury reporting, forecasts and performance analysis
  • Monitor debt metrics, financial covenants and key treasury KPIs
  • Support interest rate and foreign exchange risk management activities
  • Assist with derivative transactions, documentation and treasury governance processes
  • Fulltime
Read More
Arrow Right

Treasury Manager

We are looking for an experienced Treasury Manager to support high-volume treasu...
Location
Location
United States , Washington
Salary
Salary:
Not provided
https://www.roberthalf.com Logo
Robert Half
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 5+ years of relevant experience in treasury, treasury management, or cash management roles in a publicly traded company
  • Demonstrated background in corporate accounting with the ability to apply accounting principles to treasury operations
  • Proven ability to handle high-volume workloads while staying organized and attentive to detail
  • Experience managing multiple priorities simultaneously in a deadline-driven setting
  • Strong working knowledge of corporate treasury practices, including cash positioning and liquidity oversight
  • Comfortable using Slack and working on Apple computer systems as part of daily operations
  • Effective communication and coordination skills, with the ability to work cross-functionally and respond quickly to operational needs
Job Responsibility
Job Responsibility
  • Oversee daily treasury activities by managing a large volume of transactions, cash movements, and funding needs with a high degree of accuracy
  • Monitor cash positions and support short-term liquidity planning to help maintain effective cash management across operations
  • Coordinate treasury-related processes across teams, ensuring timely communication and follow-through in a fast-moving work environment
  • Review, reconcile, and track financial activity to support reporting accuracy and alignment with corporate accounting standards
  • Prioritize competing requests and deadlines while maintaining control over multiple concurrent treasury deliverables
  • Use collaboration tools such as Slack to communicate updates, resolve issues, and keep stakeholders informed on treasury matters
  • Perform treasury work efficiently within an Apple-based computing environment and adapt to team workflows and technology standards
What we offer
What we offer
  • medical, vision, dental, and life and disability insurance
  • 401(k) plan
  • free online training
  • access to top jobs
  • Fulltime
Read More
Arrow Right

Treasury Manager

We are looking for a Treasury Manager to strengthen treasury services for client...
Location
Location
United States , Houston
Salary
Salary:
Not provided
https://www.roberthalf.com Logo
Robert Half
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 7+ years of experience in treasury management
  • Demonstrated knowledge of treasury products, client onboarding, pricing support, and implementation coordination
  • Strong analytical skills with experience preparing financial comparisons, proformas, and business case documentation
  • Solid understanding of operational risk, fraud mitigation practices, and regulatory compliance related to treasury services
Job Responsibility
Job Responsibility
  • Oversee day-to-day treasury operations, including cash positioning, liquidity management, and funding activities to ensure efficient use of capital
  • Monitor and analyze cash flow trends to support forecasting, working capital optimization, and strategic financial planning
  • Manage banking relationships and coordinate with financial institutions to maintain effective treasury services and resolve operational issues
  • Develop and maintain treasury policies, procedures, and controls to support compliance with internal standards and regulatory requirements
  • Support the implementation and ongoing management of treasury systems, tools, and digital banking platforms to enhance efficiency and visibility
  • Collaborate cross-functionally with finance, accounting, operations, and IT teams to support cash management processes and business initiatives
  • Monitor and mitigate financial risks, including liquidity, counterparty, and operational risks, by implementing appropriate controls and escalation procedures
What we offer
What we offer
  • medical
  • vision
  • dental
  • life and disability insurance
  • 401(k) plan
  • Fulltime
Read More
Arrow Right

Treasury Manager

Location
Location
United States , Houston
Salary
Salary:
Not provided
https://www.roberthalf.com Logo
Robert Half
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 7+ years of experience in treasury, cash management, corporate finance, or a related financial leadership function
  • Demonstrated knowledge of daily liquidity management, cash forecasting, banking operations, and intercompany funding structures
  • Experience overseeing debt instruments such as lines of credit, term financing, and construction loans, including compliance with lender requirements
  • Ability to track financial covenants, maintain debt schedules, and prepare accurate reporting for internal and external stakeholders
  • Strong analytical skills with the ability to interpret cash trends, assess funding needs, and support strategic financing decisions
  • Proven ability to work cross-functionally with finance, accounting, legal, and operational teams in a fast-paced environment
  • Strong communication and relationship management skills for interacting effectively with banking partners and senior leadership
  • Treasury experience within real estate, property, development, or similarly asset-intensive industries is preferred
Job Responsibility
Job Responsibility
  • Direct daily cash positioning across multiple business entities and maintain clear visibility into available liquidity for ongoing operations
  • Refine short- and medium-term cash forecasting models, analyze forecast variances, and provide leadership with timely insight into expected cash trends
  • Coordinate intercompany funding activity and cash concentration practices to improve working capital efficiency and reduce excess idle balances
  • Develop, document, and uphold treasury policies, internal controls, and operating procedures that support consistent cash management across the organization
  • Serve as a key contact for banking partners by helping manage relationships, reviewing service performance, and supporting negotiations related to accounts, fees, and credit arrangements
  • Administer credit facilities, construction financing, and other borrowing arrangements, including draw activity, borrowing availability, and adherence to lender terms
  • Maintain debt records and monitor covenant and reporting deadlines, preparing required compliance documentation and assisting with waivers, amendments, or renewals when needed
  • Oversee construction loan draw submissions by partnering with project, accounting, and title stakeholders to ensure complete documentation, timely funding, and accurate tracking of project-level borrowing capacity
  • Implement a prudent short-term investment approach for surplus cash by evaluating approved vehicles, monitoring returns and maturities, and preserving operational liquidity
  • Prepare treasury reporting for senior leadership covering cash balances, debt exposure, covenant status, interest costs, and financing considerations tied to acquisitions and development activity
What we offer
What we offer
  • Medical, vision, dental, and life and disability insurance
  • Enrollment in company 401(k) plan
Read More
Arrow Right

Treasury Manager

Our client in the Westchester, NY area has an opening for a Treasury Manager. Th...
Location
Location
United States , Purchase
Salary
Salary:
Not provided
https://www.roberthalf.com Logo
Robert Half
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 10+ years of experience in treasury, accounting, or financial management roles with broad hands-on responsibility
  • Demonstrated expertise in financial reporting, cash flow analysis, and preparation of cash flow reports
  • Strong working knowledge of general ledger maintenance, account reconciliation, and month-to-month financial controls
  • Proven experience managing full cycle payroll, including review, processing, reconciliation, and record retention
  • Proficiency with QuickBooks and comfort working with payroll and accounting systems
  • Experience supporting budgeting, audit preparation, 1099 processing, and payment administration
  • Ability to handle administrative responsibilities alongside core finance functions in a detail-oriented environment
Job Responsibility
Job Responsibility
  • Oversee day-to-day treasury and accounting activities, ensuring financial records remain accurate, organized, and up to date
  • Maintain the general ledger, prepare reconciliations, and review transactions to support reliable financial reporting
  • Process payroll from start to finish, including verification, reconciliation, audit of supporting documentation, and maintenance of payroll records
  • Gather and track wage and fringe benefit information to support payroll accuracy and compliance requirements
  • Manage payment workflows by reviewing, processing, and evaluating disbursements in accordance with established controls
  • Complete bank account reconciliations and monitor cash activity to support effective cash flow management
  • Support purchasing administration, prepare annual 1099 documentation, and assist with routine office and financial administrative duties
  • Contribute to budget development and audit preparation by compiling records, organizing supporting schedules, and responding to documentation requests
  • Utilize QuickBooks and related financial tools to maintain reporting accuracy and streamline ongoing accounting operations
  • Attend required monthly finance meetings and scheduled board meetings to provide financial updates and support decision-making
What we offer
What we offer
  • medical insurance
  • vision insurance
  • dental insurance
  • life and disability insurance
  • 401(k) plan
  • Fulltime
Read More
Arrow Right

Treasury Manager

We are looking for an experienced Treasury Manager to support a client engagemen...
Location
Location
United States , Washington
Salary
Salary:
Not provided
https://www.roberthalf.com Logo
Robert Half
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Proven experience leading corporate treasury functions within a complex business environment
  • Strong knowledge of treasury management practices, including cash positioning, liquidity planning, and banking operations
  • Background in global treasury activities with an understanding of multi-account or multi-entity cash structures
  • Hands-on expertise in cash management and treasury reporting
  • Ability to evaluate financial data, identify trends, and provide practical recommendations
  • Strong communication skills with the ability to work effectively across finance, operations, and leadership teams
  • Demonstrated success supporting treasury projects in a contract or consulting capacity
Job Responsibility
Job Responsibility
  • Oversee day-to-day treasury activities, including monitoring cash balances, forecasting liquidity needs, and supporting funding decisions
  • Manage cash positioning across accounts and recommend actions to maintain efficient use of working capital
  • Coordinate treasury operations for domestic and global cash management processes to ensure timely and accurate execution
  • Analyze banking structures, account activity, and payment flows to identify opportunities for stronger control and better efficiency
  • Partner with finance and business stakeholders to support short-term and long-range cash forecasting and reporting
  • Develop treasury reporting and present insights related to liquidity, risk exposure, and overall cash performance
  • Support treasury-related projects, including process improvements and operational changes that affect cash management activities
  • Help maintain compliance with internal controls, banking requirements, and established treasury policies
What we offer
What we offer
  • medical insurance
  • vision insurance
  • dental insurance
  • life insurance
  • disability insurance
  • 401(k) plan
Read More
Arrow Right

Treasury Manager

We are looking for a Treasury Manager to lead core cash management and treasury ...
Location
Location
United States , Spartanburg
Salary
Salary:
Not provided
https://www.roberthalf.com Logo
Robert Half
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Experience managing corporate treasury functions within a financial services or similarly regulated environment
  • Strong knowledge of cash management, liquidity oversight, and day-to-day treasury activities
  • Proficiency with financial software and systems used for treasury reporting, transaction tracking, and reconciliations
  • Demonstrated ability to perform account reconciliations and bank reconciliations with a high degree of accuracy
  • Solid analytical skills with the ability to interpret financial data and support capital-related planning
  • Effective communication skills and the ability to work across finance, accounting, and banking partners
  • Strong organizational skills with the ability to manage multiple priorities and meet deadlines in a fast-paced setting
Job Responsibility
Job Responsibility
  • Direct daily treasury operations, including cash positioning, fund movement, and monitoring of available liquidity across accounts
  • Manage banking relationships and coordinate account activity to support efficient cash management and reliable financial operations
  • Prepare short- and long-range cash forecasts to support funding needs, capital planning, and financial decision-making
  • Review and complete account reconciliations and bank reconciliations with a strong focus on accuracy, timeliness, and issue resolution
  • Evaluate treasury data and prepare reports that provide leadership with clear visibility into cash flow, balances, and financial risk
  • Maintain effective controls over treasury activities and support compliance with internal policies and external financial requirements
  • Partner with accounting and finance teams to resolve discrepancies, improve processes, and strengthen reporting consistency
  • Utilize financial software and treasury tools to track transactions, analyze balances, and support ongoing operational efficiency
What we offer
What we offer
  • Medical
  • Vision
  • Dental
  • Life and disability insurance
  • 401(k) plan
  • Free online training
  • Fulltime
Read More
Arrow Right

Treasury Manager

We are seeking a hands-on treasury and accounting professional to take on a broa...
Location
Location
United States , Parsippany
Salary
Salary:
Not provided
https://www.roberthalf.com Logo
Robert Half
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Bachelors degree in accounting or finance
  • Minimum 6 years' recent experience in the treasury function for mid-sized companies
  • Demonstrated experience managing cash flow, lender relationships, and ensuring compliance with covenants
  • Strong Excel skills, and highly proficient with banking platforms
  • CTP is helpful
Job Responsibility
Job Responsibility
  • Support cash management, treasury operations, and financial reporting
  • Monitor collateral and liquidity, manage global cash movements, support currency hedging, maintain internal controls, compliance, and risk management
  • Treasury accounting, bank and investment reconciliations, debt and interest tracking, month-end close support, audit coordination, SOX/control documentation, development or enhancement of treasury policies and procedures
  • Manage banking relationships, online banking portals, treasury contracts, covenant compliance, trade finance activities, and related reporting
  • Exposure to insurance renewals, lender communication, and transaction support
What we offer
What we offer
  • Competitive compensation
  • Benefits for contract/temporary professionals include medical, vision, dental, and life and disability insurance
  • Eligibility to enroll in company 401(k) plan
  • Free online training
Read More
Arrow Right