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Michael Page Finance is recruiting a Treasury Assistant Manager to shape cash and liquidity management processes and lead forecasting across the group. The role supports the new Group Treasury function, with visibility from day one in a growing team.
You will oversee daily cash positioning, ensure funds are available in the right entities and currencies, and manage 13-week liquidity forecasting while challenging local forecasts for accuracy and cash discipline.
As a Treasury Assistant Manager, you'll support in establishing cash pools, developing liquidity management processes, forecasting and treasury best practice across the organisation.
Our client is a global business with operations across international markets. They are building out a new Group Treasury function so are looking for a Treasury Assistant Manager to support in shaping cash and liquidity management processes, forecasting and treasury best practice.
This is an excellent opportunity to join a growing treasury team and make a visible impact from day one!
We are committed to creating an inclusive environment. As an inclusive recruiter we welcome applications from people of all backgrounds, identities and experiences. If you require any adjustments or accommodations during the recruitment process, we'll work with you to ensure you can perform at your best.