Senior Group Treasury Manager- UK-based | Full-Time | Permanent
Join PIB Group, a fast-growing, PE-backed international insurance group, and help shape the future of our treasury function.
Were looking for a Senior Group Treasury Manager to lead Group cash forecasting, treasury reporting, and risk management. Reporting to the Group Treasurer, youll play a key role in funding strategy, liquidity planning, and managing treasury risk across a complex, acquisitive group.
What Youll Do
* Own and enhance the Groups cash forecasting model.
* Deliver accurate forecasts and scenario analysis to support funding and hedging decisions.
* Identify, assess, and manage treasury risks (FX, interest rate, credit) and execute hedging strategies.
* Lead treasury reporting and ensure covenant compliance.
* Manage and develop the Treasury Accountant.
* Drive improvements in systems, reporting, and working capital.
* Support integration of acquisitions and treasury projects.
What Youll Bring
1. Qualified Accountant and/or Treasury professional (ACA/ACCA/CIMA/AMCT).
2. Strong experience in cash forecasting, treasury reporting, and risk management.
3. Excellent modelling skills and a strategic mindset.
4. Knowledge of treasury accounting, funding structures, and covenant reporting.
5. Experience in fast-paced, acquisitive, or...