Group Treasury Manager

Morgan McKinley

West of England

Hybrid

GBP 80,000 - 90,000

Full time

5 days ago
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Job summary

Morgan McKinley is seeking an experienced Interim Group Treasury Manager to join the finance team on a 12-month fixed-term contract. The role oversees the Group's treasury activities, focusing on cash management, liquidity planning, banking relationships, and financial risk management, with a hands-on, commercially minded approach.

Working closely with senior leaders across the business, you will drive cash visibility, support strategic initiatives, and implement treasury improvements.

Qualifications

  • Significant treasury experience within a medium or large corporate environment.
  • Strong understanding of cash management, liquidity planning and treasury controls.
  • Experience managing banking relationships and financing facilities.
  • Excellent cash forecasting and financial modelling skills.
  • Strong analytical skills with attention to detail.
  • Confident communicator with the ability to influence stakeholders at all levels.
  • Advanced Excel skills.

Responsibilities

  • Manage the Group's day-to-day treasury operations across multiple entities.
  • Oversee daily cash positioning, liquidity management and short-term cash forecasting.
  • Prepare rolling cash flow forecasts and provide insightful analysis for planning.
  • Monitor and optimise working capital and cash utilisation across the Group.
  • Maintain and develop relationships with banking partners and other financial institutions.
  • Manage banking facilities, mandates, online banking platforms and signatories.
  • Support debt management, covenant reporting and financing compliance.
  • Monitor treasury risks including FX and interest-rate exposures and mitigation.
  • Ensure treasury controls, policies and procedures remain robust.
  • Support month-end/year-end reporting and treasury disclosures / audits.
  • Partner with finance teams to improve cash visibility and forecasting accuracy.
  • Identify opportunities to improve treasury processes, systems and controls.
  • Provide treasury expertise for projects, acquisitions, refinancing or systems.

Skills

Treasury management
Cash forecasting
Liquidity planning
Banking relationships
Financial modelling
Stakeholder influencing
Advanced Excel

Education

Finance qualification (ACCA/ACCA/CIMA)

Tools

Treasury management systems

Job description

Group Treasury Manager

Location: Hybrid - Bristol on occasion
Contract: 12-Month Fixed-Term Contract
Salary: £80,000-£90,000 per annum

About the Role

We are seeking an experienced and commercially minded Interim Group Treasury Manager to join a finance team on a 12-month fixed-term contract. This is an excellent opportunity for a treasury professional to take ownership of the Group's treasury activities, ensuring effective cash management, liquidity planning, banking relationships, and financial risk management.

Working closely with senior finance leaders and key stakeholders across the business, you will play a critical role in supporting the Group's financial operations while contributing to ongoing treasury improvements and strategic initiatives.

Key Responsibilities
  • Manage the Group's day-to-day treasury operations across multiple entities.
  • Oversee daily cash positioning, liquidity management and short-term cash forecasting.
  • Prepare rolling cash flow forecasts and provide insightful analysis to support business planning.
  • Monitor and optimise working capital and cash utilisation across the Group.
  • Maintain and develop relationships with banking partners and other financial institutions.
  • Manage banking facilities, mandates, online banking platforms and authorised signatories.
  • Support debt management, covenant reporting and compliance with financing agreements.
  • Monitor treasury risks, including foreign exchange and interest rate exposures, recommending appropriate mitigation strategies where required.
  • Ensure treasury controls, policies and procedures remain robust and compliant.li>
  • Support month-end and year-end reporting, including treasury-related disclosures and audit requirements.
  • Partner with finance teams across the business to improve cash visibility and forecasting accuracy.
  • Identify opportunities to improve treasury processes, systems and controls.
  • Provide treasury expertise for projects, acquisitions, refinancing activities or system implementations as required.
Skills and Experience

Essential:

  • Significant treasury experience within a medium or large corporate environment.
  • Strong understanding of cash management, liquidity planning and treasury controls.
  • Experience managing banking relationships and financing facilities.
  • Excellent cash forecasting and financial modelling skills.
  • Strong analytical skills with attention to detail.
  • Confident communicator with the ability to influence stakeholders at all levels.
  • Advanced Excel skills.
  • Ability to work independently and manage competing priorities in a fast-paced environment.

Desirable:

  • Treasury qualification (AMCT, MCT or equivalent).
  • ACA, ACCA, CIMA or other relevant finance qualification.
  • Experience of treasury management systems.
  • Experience operating within a multi-entity or international group.
Personal Attributes
  • Proactive and solutions-focused.
  • Highly organised with excellent attention to detail.
  • Commercially aware with strong business partnering skills.
  • Collaborative approach and able to build effective relationships across the organisation.
  • Adaptable and comfortable working in a changing environment.
  • Professional, trustworthy and able to handle confidential information with discretion.
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