Treasury Manager job in London within a FTSE250 focusing on cash, liquidity, risk and investments
Your new company
This FTSE 250 is looking for a Treasury Manager to join the team for 12 months with the high possibility of extension due to increased M&A activity of the group. This role will have you working in a senior team and taking ownership of the cash management, liquidity, risk and investment of surplus cash making use of a broad range of products.
Your new role
As Treasury Manager you will take ownership for the cash management for the business which is circa £500 million under management. You will be responsible for managing the investment opportunities of surplus cash, developing the investment strategies and execute this, manage the short term liquidity requirements and advise on best practice. You will also be involved in implementing the risk strategy, maintain compliance and manage the counterparty risk.
What you'll need to succeed
You will need prior experience within a similar treasury role covering cash management, liquidity, risk and investments. You will be available on short notice and have strong Stirling exposure.
What you'll get in return
This contract has the possibility to be extended beyond the year for the right person.
What you need to do now
If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.
If this job isn't quite right for you but you are looking for a new position, please contact us for a confidential discussion on your career.
- Money Market
- cash management