An excellent opportunity for a Treasury specialist with an accounting background to join a leading organisation in North London. This role involves a mix of operational treasury management and strategic projects, with a strong focus on automation, efficiency, and process improvement. It offers great exposure, career development, and the chance to make a real impact. Key Responsibilities Managing cash, liquidity, and FX operations Supporting and maintaining daily TMS operations (ideally Kyriba, Quantum or Integrity) Driving efficiency and automation through treasury projects Enhancing processes and implementing best practices Collaborating with internal teams to optimise treasury functions Requirements Strong experience in cash, liquidity, and FX management Background in a large PLC environment (preferred) Hands-on TMS experience, including user and maintenance aspects Proven ability to lead projects and drive process improvements Accounting qualification or part-qualified (ACA, ACCA, or equivalent) This is a fantastic opportunity for a proactive and detail-oriented treasury professional looking to take on a role with real influence and growth potential. If this sounds like the right fit for you, please get in touch.