Treasury Manager

HW People

Leeds

Hybrid

GBP 70,000 - 90,000

Full time

14 days+

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Benefits offered by this job

Hybrid working
Supportive culture

Job summary

A leading national business in the UK is seeking an experienced Treasury Manager to oversee cash flow, manage financial risk, and lead a small treasury team. The role offers hybrid working, with an office base in Newcastle or Leeds, and provides an opportunity to make a significant impact in a supportive culture. Strong analytical and communication skills are essential, as well as experience in treasury management.

Qualifications

  • Proven experience in a treasury management or senior treasury role.
  • Excellent analytical and communication skills with strong attention to detail.
  • Proficiency in Microsoft Excel and financial modelling.
  • Ability to build strong working relationships internally and externally.
  • Motivated, organised, and able to work both independently and collaboratively.

Responsibilities

  • Manage daily cash, liquidity, and working capital to ensure financial stability.
  • Lead cash flow forecasting and provide accurate analysis.
  • Oversee banking relationships and debt facilities.
  • Identify treasury-related risks and ensure adherence to policies.
  • Continuously improve treasury processes and internal controls.
  • Provide strategic recommendations on funding and risk management.
  • Lead and develop team members for high performance.

Skills

Analytical skills
Communication skills
Attention to detail
Relationship building
Proficiency in Microsoft Excel
Financial modelling

Job description

This range is provided by HW People. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.

Treasury Manager (Hybrid – 1 day in Newcastle or Leeds)

An exciting opportunity has arisen for an experienced Treasury Manager to join a leading national business. This key role will be responsible for managing cash, liquidity, and financial risk to ensure the organisation’s financial stability and efficiency.

The successful candidate will oversee cash flow forecasting, maintain strong relationships with banking and funding partners, and provide strategic insights to support decision-making at a senior level. You’ll also lead and develop a small treasury team, ensuring robust controls, compliance, and continual improvement across treasury processes.

Key Responsibilities

  • Manage daily cash, liquidity, and working capital to ensure financial stability and availability of funds.
  • Lead cash flow forecasting and provide accurate, timely analysis to support key business decisions.
  • Oversee banking relationships, debt facilities, and funding requirements.
  • Identify and manage treasury-related risks and ensure adherence to relevant policies and regulations.
  • Continuously improve treasury processes and internal controls.
  • Provide strategic recommendations on funding and risk management matters.
  • Lead, mentor, and develop team members to ensure high performance and engagement.

About You

  • Proven experience in a treasury management or senior treasury role.
  • Excellent analytical and communication skills with strong attention to detail.
  • Proficiency in Microsoft Excel and financial modelling.
  • Ability to build strong working relationships internally and externally.
  • Motivated, organised, and able to work both independently and collaboratively.

What’s on Offer

  • Hybrid working (office base in Newcastle or Leeds).
  • Opportunity to make a tangible impact within a large, established organisation.
  • Supportive culture built on the values of simplicity, engagement, and transparency.
Seniority level
  • Mid-Senior level
Employment type
  • Full-time
Job function
  • Finance and Sales
Industries
  • Staffing and Recruiting
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