Treasury Manager | Global Fintech Location: London Day rate: £600 - £700 per day
A leading international Fintech firm is seeking an experienced Treasury Manager to join its growing finance team. Operating across multiple regions with a focus on delivering high-performance trading infrastructure to institutional clients, the company is expanding its treasury function to support continued global growth. This is a newly created role offering autonomy, exposure to complex multi-currency operations, and the opportunity to shape treasury strategy in a dynamic environment.
Key Responsibilities:
Lead global cash and liquidity management across multiple entities and currencies
Maintain and enhance cash flow forecasting, treasury controls, and funding processes
Manage relationships with global banking partners and ensure operational efficiency
Oversee intercompany funding and capital allocation within regulatory and tax frameworks
Monitor FX exposure and support the development of hedging strategies
Collaborate with Finance, Risk, and Compliance teams to ensure governance and alignment
Contribute to financial reporting, board presentations, and strategic planning
Candidate Profile:
5+ years of experience in a treasury or cash management role within financial services or fintech
Strong understanding of institutional banking, multi-currency operations, and treasury systems
Proven experience working across international markets and managing liquidity globally
Highly proficient in Excel; experience with treasury or ERP platforms is a plus
ACT qualified, or other relevant financial qualifications (e.g., ACA, ACCA, CFA)
Familiarity with FX markets or digital asset environments is advantageous
What’s on Offer:
Strategic, high-impact role within a global financial organisation
Competitive salary, performance bonus, and comprehensive benefits
Hybrid working model with flexibility and autonomy
Opportunity to shape treasury operations in a technology-led, high-growth environment
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