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A global financial services company is seeking a Middle Office Treasury Manager to oversee treasury operations and manage financial risk. The role involves monitoring financial covenants, leading trade finance operations, and preparing financial reports. Candidates should have experience in treasury and structured finance, with strong analytical skills and proficiency in Excel. This opportunity offers a hybrid working model with international travel and attractive perks.
As Middle Office Treasury Manager, you'll connect Front and Back Office, oversee covenants, streamline trade finance, and support liquidity and risk management. Working alongside the Head of Group Treasury, you'll help optimise financial performance in a private‑equity‑backed, LBO environment where value creation and transformation are key.
Our client is a global business, operating in over 30 countries with 50 plants across five continents. Employing around 6,000 people and generating €1.6 billion in revenue, they offer a dynamic, fast‑paced environment backed by private equity, where innovation, efficiency, and growth are key.
Proven experience in Treasury, Middle Office, Structured Finance, or Financial Controlling.
Strong technical knowledge of trade finance instruments, debt structures, and covenants.
Excellent analytical skills, with advanced Excel and financial modelling proficiency.
Solid understanding of financing documentation, including bonds and credit agreements.
Holidays & RTT: 25‑40 days of annual leave.
Health insurance: Employer‑supported coverage.
Profit‑sharing & incentives: Interest up to €2,000/year; Participation €1,000‑€1,500; performance‑based bonus.
Company savings plan: Long‑term savings opportunities.
CSE perks: Discounts on hotels, leisure, and sports.
Hybrid working: 2‑4 days p/w in London
International travel: 1 trip to Paris per Quarter