Treasury Manager
Job Description
We are supporting a PE-backed business operating within the industrial and manufacturing sector (c.£200m turnover) in the appointment of a Treasury Manager to join their growing finance function.
\n\nThis is an opportunity to step into a visible role with ownership across treasury operations, cash strategy and working capital management in an international environment. The business is looking for someone who can bring ideas, challenge existing processes and support continued growth.
\n\nWorking closely with senior finance and operational stakeholders, this role offers the opportunity to influence decision making and help shape treasury across the wider organisation.
\n\nKey responsibilities:
\n- \n
- Ownership of cash management and forecasting across the group \n
- Drive working capital initiatives and identify opportunities for improvement \n
- Manage banking relationships and treasury operations \n
- Support liquidity planning and cash optimisation activities \n
- Partner with finance and operational stakeholders across the business \n
- Deliver insight and reporting to support strategic decision making \n
- Contribute to process improvement and change initiatives as the business grows internationally \n
Why consider it?
\nPE-backed business with ambitious growth plans c.£200m turnover international operation Opportunity to influence and drive change Broad treasury ownership with development potential Hybrid working - 2-3 days in the office
\n\nOpen to qualified or QBE finance professionals with treasury, cash management or broader finance experience looking to step into a commercially focused and high-impact role.
\n\nIf this is something of interest, please click apply or send your CV
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