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Group Treasury Manager

Job in Hatfield, Hertfordshire, HR6, England, UK
Listing for: Computacenter AG & Co. oHG
Contract position
Listed on 2026-07-16
Job specializations:
  • Finance & Banking
    Corporate Finance, Risk Manager/Analyst, Financial Analyst, Financial Manager
Salary/Wage Range or Industry Benchmark: 70000 - 110000 GBP Yearly GBP 70000.00 110000.00 YEAR
Job Description & How to Apply Below

Group Treasury Manager

Location: UK - Hatfield |
Job-: 219031 |
Contract type: Standard |
Business Unit: Finance & Accounting

Computacenter is a leading independent technology and services provider, trusted by large corporate and public sector organisations to help them source, transform and manage their technology infrastructure.

Our Group Treasury function plays a critical role in supporting the financial strength, liquidity and governance of our global business. We are now looking for a Group Treasury Manager to join the team in Hatfield, UK, on a hybrid working basis.

This is a newly created role with a clear commercial and front-office treasury focus. You’ll act as a key business-facing treasury specialist, working closely with local treasury teams, finance, tax, sales, procurement, operations and external banking partners across multiple jurisdictions.

What you’ll do
  • Lead the Group’s liquidity process, helping to maintain accurate liquidity forecasting and cash visibility.
  • Support the development and execution of the Group funding strategy, including facilities management, covenant compliance and counter party reporting requirements.
  • Manage financial risk activity across foreign exchange, interest rate and counter party risk, ensuring alignment with Group policy.
  • Develop and maintain strategic banking relationships across the Group.
  • Manage intercompany funding arrangements and support dividend planning activity.
  • Provide Group Treasury oversight and support for international entities across multiple jurisdictions.
  • Provide dotted-line Group Treasury support to dedicated local treasury teams, including teams based in the US and India.
  • Monitor compliance with Group Treasury policies, governance requirements and reporting obligations.
  • Act as a treasury business partner on complex commercial opportunities, working closely with finance, sales, procurement, tax and operational teams.
  • Support ad hoc treasury projects and contribute to the continuous improvement of treasury processes and reporting.
What you’ll need
  • Significant corporate treasury experience, ideally gained within a large, complex or international organisation.
  • Strong experience in liquidity forecasting, funding and financial risk management.
  • Experience operating in an international corporate environment and working across multiple jurisdictions.
  • Excellent stakeholder management, communication and business partnering skills.
  • Confidence working with senior finance stakeholders, local treasury teams and external banking partners.
  • Strong understanding of treasury governance, compliance and reporting requirements.
  • Ability to bring structure, clarity and commercial insight to complex treasury topics.
  • ACT qualification or equivalent treasury qualification would be desirable.
  • FTSE-listed company experience would be advantageous.
  • Experience with SAP and/or Serrala would be desirable.
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