Treasury Manager

Elevation Recruitment Group

Scunthorpe

On-site

GBP 60,000 - 70,000

Full time

11 days ago
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Job summary

Elevation Recruitment Group in Scunthorpe is seeking an experienced Treasury Manager to oversee daily treasury operations, cash management, and trade finance within a lean, dynamic finance team.

The role focuses on liquidity, funding, and risk management, working closely with internal teams and banking partners to ensure strong controls and compliant treasury processes.

Qualifications

  • Hands-on experience in treasury operations, reconciliations, and cash management.
  • Strong understanding of liquidity, funding, and hedging principles.
  • Excellent Excel skills and proficiency in MS Office; SAP experience desirable.

Responsibilities

  • Manage daily cash operations to ensure optimal liquidity and effective use of funds.
  • Monitor and update short-term cash flow forecasts.
  • Oversee execution and settlement of payments (including SAP and manual transactions).
  • Support the management of trade finance instruments (letters of credit, guarantees, bonds, etc.).
  • Reconcile treasury-related accounts, intercompany loans, and financial instruments.
  • Maintain productive banking relationships and oversee account administration and KYC.
  • Ensure compliance with internal treasury policies and external regulations.
  • Contribute to the development and improvement of treasury processes, controls, and risk management frameworks.
  • Prepare management reports and dashboards to support strategic decision-making.
  • Support treasury-related audits and ad hoc projects.

Skills

Treasury ops
Cash flow
Liquidity mgmt
Hedging principles
Excel

Education

Finance or accounting qualification

Tools

SAP

Job description

Elevation Recruitment Group are currently recruiting for a well-established and fast-moving organisation in Scunthorpe as they look for an experienced Treasury Manager to join its Finance function.

This is a key position within a lean and dynamic team, responsible for overseeing the day-to-day treasury operations and ensuring robust cash, liquidity, and risk management.

The successful candidate will play a hands-on role managing cash flow, payments, and trade finance activities, while maintaining strong financial controls and compliance standards. The role involves close collaboration with internal teams and external banking partners.

Key responsibilities will include: -

  • Manage daily cash operations to ensure optimal liquidity and effective use of funds.

  • Monitor and update short-term cash flow forecasts.

  • Oversee execution and settlement of payments (including SAP and manual transactions).

  • Support the management of trade finance instruments (letters of credit, guarantees, bonds, etc.).

  • Reconcile treasury-related accounts, intercompany loans, and financial instruments.

  • Maintain productive banking relationships and oversee account administration and KYC.

  • Ensure compliance with internal treasury policies and external regulations.

  • Contribute to the development and improvement of treasury processes, controls, and risk management frameworks.

  • Prepare management reports and dashboards to support strategic decision-making.

  • Support treasury-related audits and ad hoc projects.

    The ideal candidate will have the following skills and experiences: -

  • Finance or accounting qualification, ideally ACT qualified but Part Qualified will also be considered (Including ACCA, CIMA)

  • Hands-on experience in treasury operations, reconciliations, and cash management.

  • Strong understanding of liquidity, funding, and hedging principles.

  • Excellent Excel skills and proficiency in Microsoft Office. SAP experience would be desirable.

  • Strong communication, organisation, and prioritisation skills.

  • High level of accuracy and attention to detail.

  • Self-motivated and proactive with a collaborative, positive approach.

  • Reliable and adaptable in a fast-paced environment.

This is a fantastic opportunity to join a respected, international organisation where you'll have genuine impact, autonomy, and exposure across the business. You'll be part of a high-performing team committed to excellence in treasury management and financial operations.

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