More jobs:
Treasury Manager
Job in
Manchester, Greater Manchester, M9, England, UK
Listed on 2026-09-10
Listing for:
Robert Half
Full Time, Seasonal/Temporary
position Listed on 2026-09-10
Job specializations:
-
Finance & Banking
Corporate Finance, Financial Manager, Financial Analyst
Job Description & How to Apply Below
Other key responsibilities include;
* Own the Group's short and medium-term cash flow forecasting process, including the development and management of a robust 13-week cash flow forecast.
* Consolidate cash forecasts across business units and legal entities to provide a clear Group-wide liquidity position.
* Review and challenge cash flow submissions from divisional finance teams, ensuring assumptions are realistic, consistent and supported by operational data.
* Analyse actual cash performance against forecast, identifying the drivers behind material variances and implementing improvements to forecasting accuracy.
* Produce liquidity scenarios and sensitivities to identify potential funding requirements and cash constraints.
* Provide the Head of Treasury, Group Finance Director and CFO with clear insight into future liquidity and working capital requirements. In return we offer a great salary and benefits package, hybrid working policy and the chance to forge a career in a fast paced Private Equity backed environment. Robert Half Ltd acts as an employment business for temporary positions and an employment agency for permanent positions.
Robert Half is committed to diversity, equity and inclusion. Suitable candidates with equivalent qualifications and more or less experience can apply. Rates of pay and salary ranges are dependent upon your experience, qualifications and training. If you wish to apply, please read our Privacy Notice describing how we may process, disclose and store your personal data:
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