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Advert Closes: Thursday 28th May
Are you an experienced treasury professional who enjoys delivering effective cash management and well‑controlled financial operations?
Do you bring expertise in daily cash positioning, liquidity planning, and treasury operations, with the ability to apply sound judgement within established governance frameworks? Are you comfortable working across Finance and the wider organisation to deliver accurate insight, improve processes, and support timely decision‑making?
We’re looking for a Treasury Manager to oversee day‑to‑day treasury activities, including cash management, funding coordination, and treasury controls. Working as part of the General Accounting team, you’ll contribute to improving treasury processes, enhancing reporting and automation, and supporting the organisation’s financial resilience, while providing guidance and oversight to a small team.
About the role
The Treasury Manager is responsible for overseeing internal treasury operations, ensuring timely execution of treasury processes, effective cash management, and adherence to governance and control frameworks. The role supports short‑term liquidity planning, investment and funding activities, and treasury reporting for internal stakeholders.
You’ll play a key role in embedding treasury best practices, supporting continuous improvement initiatives, and partnering with Finance Transformation and Systems teams to enhance controls and automation.
Key responsibilities
Cash management & liquidity
Oversee the daily cash position process, ensuring accurate reporting of balances, movements, and forecasts
Manage short‑term cash flow planning and identify funding requirements
Coordinate weekly cash distributions and DMO transfers (where applicable), ensuring accuracy and timeliness
Monitor overdrawn accounts and ensure appropriate actions are identified and followed through
Treasury operations
Execute treasury transactions, including payments, sweep transfers, and forward funding
Oversee day‑to‑day treasury controls, including bank approvals, segregation of duties, and selected bank reconciliations
Support effective management of bank accounts and cash structures
Governance, control & compliance
Ensure treasury activities align with internal policies, delegation of authority, and financial control standards
Prepare and deliver treasury‑related reporting, including daily cash positions and weekly cash forecast dashboards
Support internal and external audits relating to treasury processes
Process improvement & transformation
Contribute to improvements in cash management processes, reporting, and treasury insight
Partner with Finance Transformation and Systems teams on automation and continuous controls improvements
Identify opportunities to simplify workflows and reduce manual processes
Stakeholder engagement
Act as a key point of contact for treasury matters across Finance (Commercial and Group), the wider business, projects, transformation teams, and external partners
Provide clear and timely information to support decision‑making
People management
Provide line management and day‑to‑day support to treasury team members
Encourage knowledge sharing, development, and continuous improvement within the team
What we’re looking for
Essential experience and skills
Experience in a treasury, cash management, or closely related finance role
Knowledge of liquidity management, cash forecasting, and treasury operations
Experience working within financial control, governance, or compliance frameworks
Ability to interpret cash and treasury data and present insights clearly
Comfort working with multiple stakeholders across Finance and the wider business
Experience supporting, mentoring, or managing team members
Desirable
Experience in a complex or multi‑entity organisation
Exposure to finance transformation initiatives or system‑led process improvements
Professional qualification or part‑qualification (ACT, ACA, ACCA, CIMA, or similar)
Apply now if you think this role aligns with your experience. You’ll have the opportunity to take ownership of day‑to‑day treasury operations, contribute to process improvement across Finance, and work closely with stakeholders to support effective cash management and financial resilience.
Our Offering / benefits:
As well as a competitive salary, pension and performance related bonus offering, we have a wealth of benefits available ranging from flexible working; market leading family policies and shopping discounts in the West End, to private healthcare; life and critical illness cover and 28 days holiday with the option to buy more. We value work life balance and your wellbeing highly, enabling you to be your best self to work.
Disability Disclaimer:
We are a proud disability confident employer and operate the offer of interview scheme Disability Confident employer scheme - GOV.UK (www.gov.uk).
We are happy to offer alternative application methods or formats and can be flexible on our process to enable you to have the best opportunity.
If you have any questions about our recruitment process or would like to talk about adjustments, please contact us directly, or at [email protected]
Please note that if we receive a high volume of applications, we may close this advert early. We encourage you to apply as soon as possible.
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