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Interim Group Treasury Manager

Cedar

London

Hybrid

Full time

22 days ago

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Job summary

Cedar is seeking an Interim Group Treasury Manager for a 4-6 month contract in South London. This role involves leading the treasury team, managing cash flow forecasting, and implementing risk strategies. Ideal candidates will have a formal accountancy qualification and strong treasury experience. This is an opportunity to drive improvements in a high-growth environment.

Qualifications

  • Experience in a busy treasury operation with multi-currency accounts.
  • Ability to manage leveraged debt and operational banking relationships.

Responsibilities

  • Lead the Group Treasury team and oversee daily operations.
  • Own cash flow forecasting and reporting liquidity positions.
  • Implement hedging strategies and monitor foreign exchange exposure.

Skills

Leadership
Cash Flow Forecasting
Risk Management
Relationship Management
Process Improvement

Education

Formal Accountancy Qualification

Tools

Excel
Treasury Systems

Job description

Intro
Cedar is currently partnered with a high-growth, PE-backed international retail group based in
South London (Hybrid) to secure an Interim Group Treasury Manager. The role is an initial 4-6 month contract, paying a day rate between £450-600 per day (Inside IR35).

The Company
This successful and fast-paced consumer business is scaling internationally, supported by private equity backing. As the business grows, the treasury function is central to maintaining liquidity, managing risk, and supporting operational excellence. This is an opportunity to drive improvements across cash forecasting, banking, and risk strategy-working directly with senior leadership.

The Role
As
Interim Group Treasury Manager, you will:

  • Lead the Group Treasury team and oversee daily operations
  • Own cash flow forecasting, reporting short- and long-term liquidity positions
  • Manage relationships across multiple banking partners and jurisdictions
  • Implement hedging strategies and monitor foreign exchange exposure
  • Maintain and develop treasury policies across capital structure and risk
  • Deliver accurate and timely covenant compliance and interest reporting
  • Drive improvements in automation, reporting, and process efficiency
  • Support audit processes and ensure treasury controls are robust and well documented

Your Profile
You will ideally have:

  • A formal accountancy qualification (e.g. ACA/CIMA/CA) – or equivalent experience
  • Strong experience in a busy treasury operation with multi-currency accounts
  • Demonstrated ability to manage leveraged debt and operational banking relationships
  • Previous success implementing cash flow forecasting models and reporting tools
  • Proven ability to lead and develop teams in a high-growth environment
  • Strong Excel and knowledge of treasury systems/banking platforms
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