Treasury Lead Forecasting & Cash Flow
Listed on 2026-09-18
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Finance & Banking
Corporate Finance, Financial Manager, Risk Manager/Analyst
Top Recruit is recruiting an experienced Treasury Manager for a large international travel business on a 6‑month fixed‑term contract. The role covers treasury activities across the UK and Europe, including cash flow, liquidity, banking relationships and forecasting. You will lead governance and build stronger treasury controls while supporting a direct report.
This fast-paced, hands-on opportunity suits a treasury professional ready to step into a management role in an international environment.
This is a strong role to take on the Treasury Lead: 13-Week Forecasting & Cash Flow role at Top Recruit.
Please review the full job details above before applying.
If your experience matches this role, we encourage you to apply.
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The position is based in United Kingdom.
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