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Treasury Manager

Cedar

Greater London

On-site

GBP 95,000

Full time

Yesterday
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Job summary

A high-growth private equity-backed company is seeking a Treasury Manager in London with a salary around £95,000 plus bonuses and benefits. This senior position involves taking ownership of end-to-end treasury operations on a global scale, including liquidity management and FX risk. The successful candidate will lead a small team across the UK and US, overseeing critical financial processes and treasury reporting in a complex, fast-paced environment.

Benefits

Bonus
Benefits

Qualifications

  • 5+ years’ corporate treasury experience is required.
  • Strong exposure to FX hedging, liquidity, and debt management.
  • Experience with Treasury Management System (TMS) implementation or optimization.

Responsibilities

  • Manage group liquidity, cash forecasting and global banking.
  • Track FX exposure and execute hedging strategies.
  • Oversee payments, controls, and approvals across jurisdictions.
  • Manage loan administration and covenant reporting.

Skills

Corporate treasury experience
FX hedging
Liquidity management
Debt and covenant reporting
Team leadership

Education

Professional qualification (ACT / ACA / CFA)
Job description

Treasury Manager, PE Backed Market Leader, London, c.£95,000 + bonus + benefits

We’re working exclusively with a high-growth, private equity-backed international group to appoint a senior Treasury professional into a newly created role.

Operating across multiple continents, this business has scaled rapidly through acquisition and organic growth, creating a sophisticated treasury environment with meaningful exposure to liquidity management, FX risk, debt, derivatives and systems transformation.

Reporting into the Group Finance Director, you’ll take ownership of end-to-end treasury operations for the group, leading a small international team across the UK and US. This is a highly visible role with real influence over how treasury operates globally.

Responsibilities
  • Group liquidity, cash forecasting and global banking management
  • FX exposure tracking and hedging strategy execution
  • Oversight of payments, controls and multi-jurisdiction approvals
  • Loan administration, covenant reporting and lender interaction
  • Treasury reporting, KPIs and senior stakeholder support
  • Leading the treasury workstream on a Treasury Management System (TMS) implementation
  • Managing and developing a UK/US-based team
Essentials
  • Professional qualification (ACT / ACA / CFA)
  • 5+ years’ corporate treasury experience
  • Strong exposure to FX hedging, liquidity, debt and covenant reporting
  • Experience implementing or optimising a TMS
  • Confidence working across time zones and with senior stakeholders
  • You’ll be a hands‑on treasury professional from a multinational environment, comfortable operating in a fast‑moving, PE‑backed business.
Why Apply?
  • Genuine ownership of a global treasury function
  • Complex, interesting treasury with real commercial impact
  • High-growth, acquisitive, PE-backed environment

This role would suit a Treasury Manager ready to step up or an established Treasurer looking for broader scope and influence.

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