T
Posted 14 hours ago
Treasury Manager
Together GroupTreasury Manager
Requirements
Experience as a treasury professional, Experience with international entities, Cashflow forecasting expertise
Skills
BankingFinance
About the role
Responsibilities
- Lead cashflow forecasting and treasury operations across UK, US, and international entities
- Manage and maintain banking relationships
- Oversee reporting processes for treasury activities
- Drive operational excellence and support strategic financial initiatives
Requirements
- Proven experience as a treasury professional
- Experience managing international treasury operations
- Strong expertise in cashflow forecasting and banking management
ScoutJobs Agent
Get matches like this delivered daily
Sign up free — we'll pull jobs that fit your CV from across the web and rank them for you.
Get started — it's freeTreasury Manager
Together Group · London
