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Trinity House Group is seeking an Interim Group Treasury Manager to lead cash management, liquidity planning and forecasting across a multi-entity operation. The role is for 6 months and hybrid, based in the Staffordshire area with in-office presence 2–3 days per week.
Key duties include group cash positioning, forecasting across entities, managing a new ABL facility, banking relationships and cross-functional collaboration to sharpen forecast accuracy.
We're recruiting a Interim Group Treasury Manager to drive cash management and forecasting across our clients multi-entity operation. This role will initially be for a period of 6 months. Although hybrid this role would suit professionals based in the Staffordshire area as there will be the requirement to be in the office 2-3 days per week.
The Role:
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