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Treasury Manager

United Kingdom, Glasgow 55000.00 - 65000.00 GBP / Year · Job Posted March 04, 2026
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Job Description

This is an excellent opportunity to join a large organisation within the energy space. The company is well-established and offers a professional environment with a focus on operational excellence and innovation.

Job Responsibility

  • Review the daily liquidity report, other ad-hoc/periodic reporting and month-end processes
  • Own the medium term cashflow & 13-week liquidity forecast process
  • Manage the cash management bank relationships, along with all reporting, mandate & KYC requirements
  • Drive the improvement of current and further TMS developments
  • Manage key bank operational systems (online banking/MMFs)
  • Own and produce periodic FX risk analysis, liaising with wider Treasury and Procurement as part of the process
  • Provide ad-hoc support to the Corporate Treasury Team based in London

Requirements

  • An accounting qualification, or working towards (ACA, ACCA, ICAS)
  • Working knowledge and experience in Treasury Accounting under UK GAAP (FRS 102) (especially debt and derivatives, including hedge accounting)
  • Between 2 and 3 years of experience in Treasury would be desirable. Knowledge of cash management, cashflow forecast, intercompany structures and Treasury systems is essential.
  • Strong excel and other MS application skills.
  • Ability to analyse and effectively present/communicate data.

What we offer

  • competitive package
  • great wider benefits
  • hybrid working
  • free parking available

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