Treasury Cash Manager - Liquidity & Forecasting Lead
Listed on 2026-10-01
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Finance & Banking
Financial Manager, Corporate Finance, Risk Manager/Analyst
Investigo is seeking a Treasury Cash Manager for an initial 6-month fixed-term contract, with the potential to become permanent. You will own group-wide cash management, liquidity planning and short-term forecasting across a multi-entity environment.
Responsibilities include leading daily cash management, forecasting, reporting to senior stakeholders and driving treasury transformation initiatives. A strong track record in treasury operations and stakeholder management is essential.
We are currently recruiting a Treasury Cash Manager
- Liquidity & Forecasting Lead for our team in United Kingdom.
We aim to respond to suitable candidates as soon as possible.
Full responsibilities and requirements are described in the listing above.
Learn more about the Treasury Cash Manager
- Liquidity & Forecasting Lead role in the description above.
We appreciate your interest in this position.
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