The EMEA Treasury Manager will lead regional cash flow operations, optimise treasury processes, and manage key financial relationships across 40+ currencies and 70+ countries. This role offers the chance to shape impactful financial strategies and lead a skilled team in a growing global organisation.
Client Details
My client is a leading global organisation committed to operational excellence and innovation. Operating across 40+ currencies and 70+ countries, the company has a diverse and expansive reach. Originally headquartered in London, the Group and Regional Treasury function is now decentralised, with the UK Treasury team now based in Manchester, with small additional hubs in the US, Brazil and Malaysia. While the current treasury processes remains largely manual and Excel-based, there is a clear appetite for implementing a Treasury Management System (TMS) in the future. The team is small but highly experienced, offering a collaborative and expert-led environment. Notably, the company has demonstrated remarkable growth since COVID-19, acquiring several businesses and continuing to expand. This role provides the opportunity to shape impactful financial strategies in a dynamic and growth-oriented organisation.
Description
The EMEA Treasury Manager is responsible for assessing, monitoring, planning, and managing the efficient utilisation of cash and financial services in alignment with the company's object...