Treasury Manager

Cedar

Northampton

On-site

GBP 90,000 - 130,000

Full time

9 days ago
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Job summary

Cedar is seeking an experienced Treasury Manager to lead a modern Group Treasury function within an international organisation. You will take ownership of global treasury activities, including cash and liquidity management, FX, financing, banking relationships and financial risk, while providing strategic insight to senior leadership.

This high-impact role offers the opportunity to shape treasury strategy, drive improvements and collaborate with international finance teams across the group.

Qualifications

  • Significant treasury and treasury risk management experience.
  • Strong cash-flow forecasting and financial analysis skills.
  • Experience with banking relationships, debt and FX.
  • Excellent stakeholder management and influencing skills.
  • Strong leadership, analytical and commercial capability.
  • A proactive, hands-on approach with a track record of delivery.
  • Relevant degree-level and/or treasury qualifications.

Responsibilities

  • Lead treasury strategy, policies, controls and governance.
  • Own global cash management and cash-flow forecasting.
  • Manage debt, financing facilities, covenants and refinancing.
  • Oversee FX, interest rate, counterparty and liquidity risk.
  • Build strong relationships with banks and treasury providers.
  • Drive automation, technology and process improvements.
  • Improve reporting and visibility of cash and financial risk.
  • Partner with international finance teams and senior stakeholders.

Job description

An exciting opportunity for an experienced Treasury Manager to lead and develop a modern Group Treasury function within an international organisation.

You will take ownership of global treasury activities, including cash and liquidity management, FX, financing, banking relationships and financial risk, while providing strategic insight to senior leadership.

Key Responsibilities
  • Lead treasury strategy, policies, controls and governance.
  • Own global cash management and cash-flow forecasting.
  • Manage debt, financing facilities, covenants and refinancing.
  • Oversee FX, interest rate, counterparty and liquidity risk.
  • Build strong relationships with banks and treasury providers.
  • Drive automation, technology and process improvements.
  • Improve reporting and visibility of cash and financial risk.
  • Partner with international finance teams and senior stakeholders.
About You

You will be an experienced treasury professional with:

  • Significant treasury and treasury risk management experience.
  • Strong cash-flow forecasting and financial analysis skills.
  • Experience with banking relationships, debt and FX.
  • Excellent stakeholder management and influencing skills.
  • Strong leadership, analytical and commercial capability.
  • A proactive, hands-on approach with a track record of delivery.
  • Relevant degree-level and/or treasury qualifications.

This is a high-impact opportunity to shape a modern Group Treasury function, influence strategic decision-making and deliver meaningful improvements across an international organisation.

International travel may be required.

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