Treasury Manager (Controls and Transformation)
I''m working with a global, multi-entity business looking to hire a Treasury Manager into their London team, with a focus on strengthening how treasury is structured, controlled, and operated across the group. This isn''t a traditional treasury role and it''s not cash management. It''s about understanding how money flows across a complex organisation, improving how it''s structured, and putting the right frameworks and controls in place.The Role Reporting into the Head of Treasury, you''ll step into a highly visible position working across Finance, Tax, and senior stakeholders, including exposure to board-level activity. You''ll play a key role in shaping how treasury operates across multiple entities and jurisdictions, with a particular focus on inter company funding, FX, and internal frameworks.What You''ll Be Doing Take ownership of inter company lending and funding structures across a complex international group Support the design and implementation of interest rate methodologies and internal funding frameworks Analyse FX exposure and contribute to real-world currency and risk decisions Drive improvements across treasury controls, documentation, and governance Partner with Finance and Tax on transfer pricing and funding structures Work closely with Company Secretariat on legal and structural documentation Act as a key point of contact for auditors and senior stakeholders Play a key role in improving systems, processes, and treasury workflows (TMS) Provide direction and ..... full job details .....
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