We are exclusively mandated on the hire of a Treasury Manager for a rapidly growing, UK-based financial services organisation operating in a regulated environment.This role offers broad ownership across treasury operations, systems, and controls. It suits someone who wants responsibility for how treasury is run day to day, with the scope to improve processes, strengthen governance, and support the business as it continues to scale.The role:The successful hire will take accountability for treasury operations and infrastructure, ensuring accuracy, resilience, and consistency across the function.Ownership and ongoing development of the organisation''s Treasury Management System, including system improvements, testing, and bank connectivityReducing manual activity through automation and process improvementMaintaining treasury policies, procedures, and internal controlsManaging bank relationships, counterparty onboarding, and KYC processesOverseeing daily treasury activity and supporting the development of a junior team memberPreparing treasury reporting for internal governance and oversight forumsActing as a central contact point for audit and regulatory interactionWorking closely with Finance and other teams while supporting change initiatives alongside BAU.Requirements: Experience in treasury operations or treasury back office within financial services or a similarly regulated environmentHands-on exposure to a Treasury Management System, Kyriba experience is beneficial but not ..... full job details .....
Other jobs of interest...
Perform a fresh search...
-
Create your ideal job search criteria by
completing our quick and simple form and
receive daily job alerts tailored to you!