Treasury Manager - Risk Strategy & Bank Reporting (Equity)

Nscale

Greater London

On-site

GBP 90,000 - 130,000

Full time

14 days+
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Benefits offered by this job

Medical insurance
Retirement plan

Job summary

Nscale, London-based, is seeking a detail-oriented treasury professional to strengthen reporting, covenant tracking, bank deliverables, and control execution. Based in London, you’ll collaborate with Legal, Accounting, FP&A, and Internal Audit to ensure audit-ready governance and disciplined operations.

You’ll gain broad exposure to debt, liquidity, and risk management while shaping capital strategy and governance at a fast-growing AI infrastructure company.

Qualifications

  • Approximately 10 years of experience in corporate treasury, corporate finance, or a closely related field.
  • Comfortable with documentation-heavy processes.
  • High attention to detail and strong follow-through.

Responsibilities

  • Support treasury risk and governance framework, including covenant monitoring, compliance certificates, bank reporting obligations, treasury policies, and related controls.
  • Maintain covenant models, compliance calendars, certificate support files, and bank reporting packages.
  • Support quarter-end and year-end treasury reporting, including debt, liquidity, and hedge-related disclosures.
  • Assist with treasury SOX controls, documentation, evidence gathering, and remediation tracking.
  • Coordinate treasury reporting and control activities with Legal, Accounting, FP&A, and Internal Audit.
  • Drive process improvement, automation, and data quality across treasury reporting.

Skills

Treasury reporting
Governance
Attention to detail
Cross-functional collaboration
SOX controls

Job description

Nscale, London-based, is seeking a detail-oriented treasury professional to strengthen reporting, covenant tracking, bank deliverables, and control execution. Based in London, you’ll collaborate with Legal, Accounting, FP&A, and Internal Audit to ensure audit-ready governance and disciplined operations.

You’ll gain broad exposure to debt, liquidity, and risk management while shaping capital strategy and governance at a fast-growing AI infrastructure company.

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