Treasury Manager - Hybrid Leader, Payments & Optimization

Gen II Fund Services

Southampton

Hybrid

GBP 55,000 - 75,000

Full time

14 days+
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Job summary

Gen II Fund Services in Southampton is seeking a Treasury Manager to oversee daily cash movements for European clients and coordinate payments for capital calls, distributions and expenses. You will lead a Treasury Team, drive process improvements, ensure robust controls, and work with senior stakeholders to meet service level agreements.

The role combines hands-on financial operations with people leadership, requiring a finance background, five years’ experience, and the ability to work as part

Qualifications

  • Bachelor’s degree in finance or related field.
  • 5 years’ experience in a similar role.
  • Good understanding of European regulation, compliance, tax and financial engineering.
  • Competency in cash management systems.
  • Strong organizational and analytical skills.
  • Strong relationship building skills.
  • People leader experience.
  • Ability to thrive as part of a team, while also being able to work independently.

Responsibilities

  • Manage the day-to-day money movement for all Gen II European Clients.
  • Work with Business Unit Directors and Client Service Teams to manage payment instructions and timing.
  • Lead onboarding of clients onto the Treasury Management platform.
  • Collaborate on workflow and processes for fund accounting and client requests.
  • Coordinate daily/weekly workflow with Treasury Leadership to meet SLAs.
  • Ensure robust controls and a strong planning/organisation framework.
  • Assist and lead transformation activities within Treasury as needed.
  • Identify opportunities for operational efficiency and drive process improvements.

Skills

Organizational skills
Analytical skills
People leadership experience
Teamwork
Independent work ability
Relationship building

Education

Bachelor’s degree in finance or related field

Tools

Cash management systems

Job description

Gen II Fund Services in Southampton is seeking a Treasury Manager to oversee daily cash movements for European clients and coordinate payments for capital calls, distributions and expenses. You will lead a Treasury Team, drive process improvements, ensure robust controls, and work with senior stakeholders to meet service level agreements.

The role combines hands-on financial operations with people leadership, requiring a finance background, five years’ experience, and the ability to work as part

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