A financial services business are looking for an immediately available Group Treasury Manager to join their London team. The role is broad, covering treasury process improvement, cashflow forecasting and financial risk management. Responsibilities Cashflow forecasting and liquidity management Financial risk management, including interest rate hedging Development of long-term cashflow model Treasury policy development Debt management and reporting Implementation of TMS Requirements 5 years experience in corporate treasury Strong Excel skills Strong analytical skills Experience with a TMS or cash management system Base £70-80k discretionary bonus Hybrid working from London office