Treasury and Cash Manager
Job in
Belfast, County Antrim, NE482EZ, Northern Ireland, UK
Listed on 2026-09-25
Listing for:
HAYS
Full Time
position Listed on 2026-09-25
Job specializations:
-
Finance & Banking
Corporate Finance, Risk Manager/Analyst, Financial Manager, Banking & Finance
Job Description & How to Apply Below
Your new role Reporting directly to the Head of Treasury, you will take responsibility for the day-to-day management of global cash, liquidity and foreign exchange activities across the responsibilities will include:
Managing and optimising global cash pooling structures across multiple currencies and jurisdictions Ownership of the group's rolling cash flow forecast, ensuring accuracy and timely reporting Managing daily cash positioning, liquidity planning and short to medium-term forecasting Leading foreign exchange risk management activities, including exposure identification, hedging and reporting Building and maintaining strong relationships with banking partners and financial institutions Deputising for the Global Head of Treasury when required Providing leadership and support to the Treasury & Cash team Preparing treasury, liquidity and FX reports for senior leadership and board-level stakeholders Strengthening treasury controls, policies and governance frameworks Supporting funding, capital structure and acquisition-related treasury projects Driving treasury process improvement, automation and systems optimisation initiatives Working closely with international finance teams to improve cash visibility and forecasting accuracy What you'll need to succeed To be considered for this position, you will have:
Significant treasury experience gained within a large international or multinational environment Proven experience managing multi-currency cash management and liquidity structures Strong exposure to foreign exchange risk management, including hedging and treasury instruments Experience working with global banking partners and treasury-related financial products A treasury qualification such as AMCT, MCT or equivalent, or a professional finance qualification (ACA, ACCA, CIMA or CFA) combined with substantial treasury experience Strong financial modelling and advanced Excel skills Experience working with Treasury Management Systems (TMS) Previous experience managing or mentoring treasury teams Excellent stakeholder management and communication skills The confidence and credibility to engage with senior leadership and external banking partners A proactive, analytical and commercially focused approach What you'll get in return In return, you will receive: A highly competitive salary and benefits package The opportunity to operate as the number two within a global treasury function Exposure to senior leadership and strategic treasury decision-making International responsibility across a complex global business
Career development opportunities within a growing organisation A broad and varied role covering cash management, liquidity, FX, banking and treasury strategy The opportunity to lead treasury transformation, automation and process improvement initiatives Belfast-based role with occasional international travel 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 about your career. Hays Specialist Recruitment Limited acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be
Skills:
treasury Accountant Benefits: £55000 - £65000 per annum
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