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Group Treasury Manager

Job in Greater London, London, Greater London, W1B, England, UK
Listing for: The Green Recruitment Company.
Full Time position
Listed on 2026-09-27
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Corporate Finance, Financial Compliance, Financial Analyst
Salary/Wage Range or Industry Benchmark: 90000 - 130000 GBP Yearly GBP 90000.00 130000.00 YEAR
Job Description & How to Apply Below
Location: Greater London

TGRC is working with a leading international investment and asset management business with a strong focus on energy transition, infrastructure, technology and other long-term investment opportunities.

They are looking to appoint a Group Treasury Manager to lead the continued development of a scalable, group-wide treasury function. This is a high-impact role with exposure across corporate and fund activities.

Key Responsibilities
  • Lead the development of the Group Treasury function, including the operating model, governance framework, policies and controls.

  • Own and enhance cash flow forecasting and liquidity management, ensuring the Group has appropriate visibility of cash requirements, funding needs and potential liquidity risks.

  • Develop treasury reporting and provide regular insights to senior management and the Executive Committee on liquidity, funding requirements, capital distribution capacity and key treasury risks.

  • Support the establishment and management of funding facilities to support working capital, growth and potential acquisition activity.

  • Manage Group banking relationships and oversee banking platforms, mandates, user access, payment controls and delegated authorities.

  • Develop treasury risk frameworks covering liquidity, counter party, FX, interest rate and operational risk, including appropriate limits and escalation processes.

  • Assess and support the development of the Group's hedging strategy, including relevant IFRS 9 considerations.

  • Build scenario analysis and stress-testing models covering acquisitions, refinancing, dividend distributions, share buybacks and stressed liquidity events.

  • Drive improvements across treasury systems, automation, data and reporting, identifying opportunities to improve efficiency and controls.

  • Lead treasury-related control improvements and remediation, maintaining appropriate documentation, risk and control matrices and evidence of control operation.

  • Act as the key treasury contact for internal audit, external audit and regulatory reviews.

The Ideal Candidate
  • Proven treasury management experience within a corporate, financial services or investment environment.

  • Experience working within a multi-entity international group.

  • Strong experience across cash flow forecasting, liquidity management and treasury reporting.

  • Exposure to banking relationships, funding, cash investment, counter party risk and treasury policy development.

  • Experience with treasury controls, banking platforms and treasury systems/automation.

  • Strong Excel, modelling and analytical skills.

  • Confident engaging with senior stakeholders and translating treasury analysis into clear recommendations.

  • ACT or another professional treasury qualification would be advantageous.

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