Global Treasury Manager – Cash, FX & Strategy

Stanton House

England

Hybrid

GBP 51,000 - 85,000

Full time

14 days+
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Benefits offered by this job

Benefits
Performance bonus

Job summary

Stanton House is seeking a Treasury Manager on behalf of a leading international manufacturing group. You will own global cash and liquidity, drive forecasting, manage FX risk and banking relationships, and report to senior leaders, including the CFO.

The role combines strategic influence with hands-on operational ownership. Based in the UK with hybrid working (2-3 days per week), you will drive treasury governance, deliver process improvements and support capital financing activities while

Qualifications

  • Qualified treasury professional (AMCT/MCT preferred) or equivalent treasury experience.
  • Experience in cash management and liquidity forecasting.
  • Experience with FX risk management and banking relationships.
  • Excellent stakeholder management and ability to influence at senior levels.
  • Strong analytical and problem-solving abilities.
  • Advanced Excel and treasury systems knowledge.
  • Autonomous, proactive and commercially aware.

Responsibilities

  • Own and manage the Group's global cash and liquidity position.
  • Develop cash flow forecasting across international entities.
  • Manage FX exposures and treasury risk management.
  • Maintain relationships with banks and treasury providers.
  • Support refinancing, facility renewals and covenant compliance.
  • Provide treasury reporting to senior leadership.
  • Drive process improvements and automation in treasury.
  • Support working capital initiatives.
  • Maintain governance, controls and policy compliance.
  • Contribute to strategic finance projects.

Skills

Treasury management
FX risk management
Stakeholder management
Advanced Excel
Treasury systems
Autonomous working

Education

AMCT/MCT preferred

Tools

Treasury software
ERP treasury module

Job description

Stanton House is seeking a Treasury Manager on behalf of a leading international manufacturing group. You will own global cash and liquidity, drive forecasting, manage FX risk and banking relationships, and report to senior leaders, including the CFO.

The role combines strategic influence with hands-on operational ownership. Based in the UK with hybrid working (2-3 days per week), you will drive treasury governance, deliver process improvements and support capital financing activities while

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