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Global Treasury Manager

Michael Page (UK)

Greater London

On-site

GBP 100,000 - 125,000

Full time

Yesterday
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Job summary

A leading global real estate business based in London is seeking a Global Treasury Manager to oversee cash management and treasury operations. This role requires a minimum of 5 years experience in treasury operations, strong commercial acumen, and excellent communication skills. Offering a competitive salary package and opportunities for career progression, it's an excellent role for professionals looking to thrive in a dynamic environment with global exposure in the property sector.

Benefits

Competitive salary package
Comprehensive bonus and benefits package
Opportunities for career progression

Qualifications

  • Minimum 5 years' experience in treasury operations.
  • Expertise in multi-currency cash management.
  • Strong communication skills for stakeholder engagement.

Responsibilities

  • Manage global treasury operations including cash management.
  • Oversee cash forecasting and reporting.
  • Optimize banking relationships and treasury policies.

Skills

Stakeholder management
Cash management
Treasury systems expertise
Analytical skills
Proactive mindset
Commercial acumen

Education

Qualified accountant or treasury qualification

Tools

SAP
Dynamics 365
Job description
  • Join a leading global real estate business.
  • Grow within a large treasury and finance function with a global exposure.
About Our Client

This is a permanent role within a large organisation in the property industry, known for its established presence and expertise in its field. The company operates globally and is committed to maintaining high standards in financial management.

Job Description
  • Manage day-to-day global treasury operations, including cash management, FX, and multi-currency liquidity.
  • Oversee cash forecasting, reporting, and standardisation across subsidiaries.
  • Lead treasury system strategies, automation, and enhancements.
  • Partner with senior stakeholders (CFO, finance, tax, legal) on funding, capital structure, and M&A support.
  • Optimize banking relationships, cash pooling, intercompany financing, and treasury policies.
  • Ensure compliance with financial regulations, internal controls, and audit requirements.
  • Manage and mentor a Treasury Analyst to ensure effective operational support.
  • Resolve banking or payment issues and oversee bank account management, guarantees, and mandates.
The Successful Applicant

A successful Global Treasury Manager should have:

  • Qualified accountant (PQE) or recognized treasury qualification (e.g., ACT, Diploma in Treasury Management).
  • Minimum 5 years' experience in treasury operations, including multi-currency cash management.
  • Strong commercial acumen with excellent stakeholder management and communication skills.
  • Experience in treasury systems (SAP, Dynamics 365, banking portals) and cash management tools.
  • Proactive, results-oriented, with the ability to lead change and transformation projects.
  • Excellent presentation, modeling, and analytical skills.
What's on Offer
  • Extremely competitive salary package which is dependant on experience level and industry exposure.
  • Permanent role with opportunities for career progression within a large organisation.
  • Comprehensive bonus, pension and benefits package.
  • Based in London with potential for global exposure in the property sector.
  • Engaging and professional work environment.

If you're ready to take on this exciting opportunity as a Global Treasury Manager in London, apply today to join a reputable organisation in the property industry!

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