Interim Treasury Manager

Talentedge

Greater London

On-site

GBP 90,000 - 130,000

Full time

3 days ago
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Job summary

Talentedge is exclusively partnered with a PE backed Unicorn FinTech to recruit an Interim Treasury Manager for a 6-month contract. You will take ownership of treasury, liquidity, forecasting and risk management globally.

Responsibilities include leading forecasting, liquidity planning, hedging strategies, and reporting across multi-currency operations, partnering with Finance and commercial teams to enable strategic decisions.

Qualifications

  • 6+ years of treasury experience within liquidity, capital management and forecasting/planning.
  • Experience in Financial Services, preferably PE/BC backed scale-ups.
  • Strong knowledge of cash forecasting, capital management and financial risk exposure management.

Responsibilities

  • Take ownership of treasury forecasting and liquidity planning across short and long horizons.
  • Manage and update forecasting models and methodologies for treasury planning.
  • Provide commercial analysis to support growth initiatives and strategic decisions.

Skills

Treasury forecasting
Liquidity management
Financial risk management
Cash flow forecasting
Stakeholder communication

Education

CFA/CA or equivalent

Tools

Treasury Management System (TMS)
Excel

Job description

I am exclusively partnered with a PE backed Unicorn FinTech, who are experiencing hyper-growth phases after successfully introducing a new-range of products for their customer base.


We are now looking for an Interim Treasury Manager to support the Director of Treasury for a 6 month contract where you will take ownership of Treasury, Liquidity, Forecasting and Risk Management.


Key Responsibilities:


  • Take ownership of the organisation’s treasury forecasting and liquidity planning processes across both short and longer-term horizons
  • Manage and update the forecasting, models and methodologies to support effective treasury planning
  • Provide commercial analysis to support business growth, new initiatives and strategic decision-making
  • Lead the liquidity and capital management across multiple entities, currencies and wider areas of the business
  • Provide recommendations on appropriate liquidity levels, funding requirements and capital allocation whilst delivering on monthly and quarterly treasury management reporting
  • Monitor, assess and manage foreign exchange and interest rate exposures across a multi-currency environment
  • Develop, implement and oversee appropriate hedging strategies and risk management. Work closely with banking and external financial partners to optimise transaction execution.
  • Partner with Finance and wider commercial/operational teams to assess the treasury implications of new products, initiatives and business opportunities
  • Support senior decision-making through details scenario analysis, sensitivity modelling and forward-looking financial insight

About You:


  • Strong Treasury experience with over 6 years experience within liquidity, capital management and forecasting/planning
  • Experience within Financial Services, with a strong preference in PE/BC backed scale-up environments
  • Excellent knowledge of cash forecasting, capital management, financial risk management and related regulatory requirements
  • Able to work in fast-paced environments and excellent communicator with experience in dealing with challenging stakeholders
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