Manager, Treasury Operations
Job in
Greater London, London, Greater London, W1B, England, UK
Listed on 2026-09-26
Listing for:
Tapestry
Full Time
position Listed on 2026-09-26
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Financial Compliance, Banking & Finance, Corporate Finance
Job Description & How to Apply Below
## Manager, Treasury Operations Apply:
Greater London, G (United Kingdom Corporate Office):
Full time:
Posted Today:
JR16149
Explore the possibilities across our global house of brands.
Defined by inclusivity rather than exclusivity, Tapestry embraces the exploration of individuality and invests in helping you grow personally and professionally. Every individual in our global house has the opportunity to make an impact, learn and be part of our growing and unique story.
At Tapestry, we have the freedom to express ourselves and run with our best ideas across Coach and Kate Spade New York. We share a profound belief in both our individual and collective potential, and know that with hard work and dedication, anything is possible.
** Primary
Purpose:
** The Manager, Treasury Operations is responsible for overseeing treasury operations across the European region, ensuring effective cash management, liquidity planning, banking administration, foreign exchange settlements, and compliance with internal controls and regulatory requirements. This role partners closely with Finance, Accounting, Tax, Shared Services, and regional business teams to optimise cash utilisation, support strategic initiatives, and drive operational excellence across treasury processes.
** The successful individual will leverage their proficiency in Treasury Operations to:
**** Cash Management & Liquidity
*** Manage daily cash operations for European legal entities, including review, authorisation, and release of payment and wire transfer requests through the treasury workstation
* Prepare and maintain short-term and long-term liquidity forecasts and cash flow projections for European entities
* Analyse cash positions, liquidity forecasts, funding requirements, and investment opportunities to provide recommendations regarding borrowing needs and deployment of excess cash
* Manage intercompany funding activities, including settlement of intercompany balances and recommendations regarding funding requirements across legal entities
* Prepare weekly, monthly, and quarterly cash, liquidity, and investment reports for senior management
** Treasury Operations & Banking
*** Maintain day-to-day relationships with banking partners across the European region
* Manage bank account lifecycle activities, including account openings, closures, signatory maintenance, and ongoing Know Your Customer (KYC) documentation requirements
* Serve as regional administrator for banking platforms and treasury management systems, ensuring appropriate user access, controls, and governance
* Review and approve bank account maintenance requests and ensure adherence to company policies and procedures
* Manage and review bank fee analysis and account analysis reconciliations to identify optimisation opportunities
** Foreign Exchange & Risk Management
*** Coordinate settlement of intercompany foreign exchange hedges and spot FX transactions as required
* Support foreign exchange risk management activities by ensuring timely execution and settlement of approved transactions
* Monitor treasury exposures and assist in identifying opportunities to improve risk management practices
** Trade Finance
*** Manage the administration of letters of credit and bank guarantees, including issuance, amendments, renewals, and reporting
* Coordinate with internal stakeholders and banking partners to support trade finance requirements and ensure compliance with company policies, external reporting requirements
** Controls, Compliance & Audit
*** Maintain treasury policies, procedures, and operational documentation to ensure strong internal controls and regulatory compliance
* Support Sarbanes-Oxley (SOX) compliance activities, including self-assessments, control testing, and documentation related to cash management and investments
* Lead responses to internal and external audit requests, ensuring timely and accurate completion of quarterly and annual audit requirements
* Ensure treasury activities are conducted in accordance with company policies, banking regulations, and governance standards
** Process Improvement & Strategic Initiatives
*** Identify and implement continuous improvement opportunities within treasury operations, reporting, and treasury management systems
* Enhance treasury reporting and analytical capabilities by leveraging system functionality, data insights, and business requirements
* Support treasury-related aspects of acquisitions, integrations, restructurings, and other strategic initiatives
* Participate in…
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