Robert Half are partnering with an expanding services organisation in Newport, who are looking for a Treasury Manager to support with their journey. The role is typically 1 day a week in office They are seeking a talented Treasury Manager to join their dynamic team. This role offers an exciting opportunity to contribute to our company's strategic growth and financial success. Key Responsibilities: Develop and implement financial models to forecast cash flow and optimize working capital. Manage banking relationships and ensure smooth financial operations. Oversee debt management activities, including refinancing and securitization. Monitor and mitigate financial risks, such as liquidity, interest rate, and counterparty risks. Collaborate with cross-functional teams to achieve business objectives. Prepare and present financial reports to senior management. Required Skills and Experience: Strong analytical skills and financial modeling expertise. Experience in treasury or finance roles, preferably in a corporate or financial institution setting. Knowledge of debt markets and securitization structures. Excellent communication and interpersonal skills. Ability to work independently and as part of a team. What We Offer: We provide a competitive compensation package and a supportive work environment. Enjoy a range of benefits, including flexible work arrangements, professional development opportunities, and a collaborative culture.