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Treasury Manager

JR United Kingdom

Gloucester

Hybrid

GBP 90,000 - 100,000

Full time

9 days ago

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Job summary

A leading company in the logistics sector is seeking a Corporate Finance and Treasury Manager to enhance financial strategy and operations. This pivotal role involves managing treasury functions, overseeing investment activities, and ensuring financial compliance. The ideal candidate will have substantial experience in treasury within leveraged environments and will engage with senior stakeholders across the UK and Europe.

Benefits

25 days holiday
Healthcare
Enhanced pension

Qualifications

  • Significant post-qualified experience in treasury operations.
  • Experience in PE-backed businesses preferred.
  • Strong background in leveraged environments.

Responsibilities

  • Lead cash and liquidity management across the group.
  • Develop financial risk management strategies.
  • Establish and maintain treasury policies and procedures.

Skills

Financial Modelling
Communication
Leadership
Analytical Skills
Commercial Acumen

Education

Qualified accountant (ACA/ACCA/CIMA or equivalent)

Job description

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Corporate Finance and Treasury Manager | London (Hybrid 3 days in, 2 days remote) | £90,000 - £100,000, bonus, 25 days hol, healthcare, enhanced pension | PE Backed Logistics

Are you ready to play a pivotal role in driving financial strategy for a dynamic and growing PE Backed European group? We're looking for an experienced and commercially minded Corporate Finance and Treasury Manager to lead treasury operations, investment oversight, and financial risk management across a multi-national business.

This is a high-impact role working closely with the Group CFO and senior stakeholders across UK and European entities, where you'll influence board-level decision-making and ensure robust, strategic financial stewardship.

What you'll be doing:

  • Lead cash and liquidity management across the group, ensuring efficient funding for operations and investments
  • Develop and oversee financial risk management strategies (currency, interest rate, and credit risk), including the use of hedging tools and instruments
  • Establish and maintain treasury policies and procedures, ensuring regulatory compliance and best practice
  • Monitor investment activity, support M&A and development teams, and track post-acquisition performance
  • Provide financial reporting to the Board, investors, and banking partners, including covenant monitoring and forecasting
  • Engage with local and international finance teams across the UK, Benelux, Scandinavia, and Ireland

What we're looking for:

  • Qualified accountant (ACA / ACCA / CIMA or equivalent) with significant post-qualified experience
  • Strong background in treasury within a leveraged environment, or experience in financial institutions
  • Ideally has experience in PE-backed businesses and confidence in managing senior stakeholder relationships
  • Experience in logistics, food, FMCG, or manufacturing sectors preferred
  • Exceptional financial modelling, reporting, and analytical skills
  • Strong communication and leadership capabilities to influence across all business levels

You'll stand out if you:

  • Are known for your commercial acumen and ability to make strategic decisions under pressure
  • Thrive in a fast-paced, multi-geography environment
  • Enjoy being both hands-on and strategic, leading high-level financial initiatives while engaging with day-to-day challenges

What's on Offer

Zachary Daniels and our client are both equal opportunity employers. We celebrate diversity and are committed to creating an inclusive environment for all employees.

Zachary Daniels is a Niche, National & International Recruitment Consultancy.

Specialising in Buying, Merchandising & Ecommerce | Design, Technical, Wholesale & Production | Finance | HR & Talent | H&S & Compliance | Marketing, Digital & Technology | Property & Centre Management | Retail, Trade, Leisure & Wholesale Operations | Senior Appointments & Exec | Sales | Supply Chain & Logistics

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