Senior Treasury Manager Cash Risk
Job Advert
- Senior Treasury Manager
- Cash & Risk (Contract) Location: London (Hybrid
- 1 day per week in office) Contract: 12 months Pay: £550-£650 per day (Inside IR35) Start: ASAPWere recruiting on behalf of a global organisation for a Senior Treasury Manager
- Cash & Risk to join their Treasury function on a 12-month contract.
This high-impact role plays a key part in supporting the Corporate Treasurer and managing group-wide liquidity, financial risk, and investment strategy.Key responsibilities include:Leading the management of cash and foreign currency liquidity across global operationsOptimising investment income and managing trapped cashDeveloping banking relationships and supporting treasury policyProviding strategic input around FX, interest rate, and counterparty riskSupporting treasury systems and continuous improvementDeputising for the Corporate Treasurer when neededWhat were looking for:Extensive treasury experience in a complex, international organisationSkilled in managing FX exposure, liquidity planning, and investmentsStrong stakeholder engagement across senior global finance teamsFamiliarity with ISDA agreements, treasury platforms, and ERP systems (SAP desirable)AMCT qualified or equivalent (preferred)This is a great opportunity to take on a pivotal treasury role with real scope for influence in a globally recognised organisation.
Apply now or contact Rinisha Bhagat at / for more information.Inventum Group is acting as an Employment Agency in relation to this vacancy.