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Treasury Manager: Liquidity & Growth Strategy (Remote)

Plum Fintech

Greater London

Hybrid

GBP 70,000 - 90,000

Full time

2 days ago
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Job summary

A leading financial services company in Greater London is looking for a Treasury Manager to lead liquidity and capital strategy. You will oversee treasury operations, manage corporate debt, and partner with product teams. The ideal candidate has over 4 years of experience in treasury within a UK-regulated business. This role offers stock options, private health insurance, and a flexible working environment.

Benefits

Stock options
Private health insurance
Annual training budget
Flexible working
25 days holiday + bank holidays
2 weeks sabbatical after 4 years
Paid volunteering day

Qualifications

  • 4+ years of experience in treasury within a UK-regulated financial services.
  • Proven experience with multiple legal entities.
  • Strong background in liquidity and capital planning.

Responsibilities

  • Manage daily treasury operations and compliance.
  • Lead liquidity and capital strategy planning.
  • Oversee cash flow forecasting and corporate debt management.
  • Develop investment strategies for excess liquidity.

Skills

Treasury management
Liquidity planning
Capital planning
Financial analysis
Communication
Job description
A leading financial services company in Greater London is looking for a Treasury Manager to lead liquidity and capital strategy. You will oversee treasury operations, manage corporate debt, and partner with product teams. The ideal candidate has over 4 years of experience in treasury within a UK-regulated business. This role offers stock options, private health insurance, and a flexible working environment.
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