Treasury Manager
Treasury ManagerSouth ManchesterExcellent remuneration/benefitsBroster Buchanan is partnering with a leading international organisation to appoint a Treasury Manager with a strong focus on EMEA operations, liquidity management, and FX strategy. This is a high-profile role offering broad exposure across multiple jurisdictions and currencies, working closely with senior finance stakeholders to optimise cash, manage risk, and support strategic growth.About the Role This position will take ownership of treasury activities across the EMEA region, ensuring effective cash management, robust forecasting, and proactive foreign exchange risk mitigation. You will play a key role in driving best practice, enhancing processes, and supporting business decisions through high-quality treasury insight.Key ResponsibilitiesManage treasury operations across EMEA, aligning regional activities with global policiesBuild strong relationships with regional finance teams and partnersEnsure efficient cash visibility across multiple entities and jurisdictionsOversee cash positioning and forecasting (short, medium, and long-term)Implement and optimise cash pooling, netting, and funding structuresEnsure sufficient liquidity while minimising idle cash and borrowing costsSupport working capital optimisation and intercompany funding strategiesIdentify, monitor, and manage FX exposures across a multi-currency environmentExecute hedging strategies (forwards, options, swaps) in line with policyCollaborate with ..... full job details .....
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