We are delighted to be working closely with a key client who is looking at recruiting for a Treasury Manager to work very closely with senior management.
Within the role you will gain significant exposure with senior stakeholders and be a trusted advisor of the business to ensure all market risks such as credit, commodity and FOREX are effectively communicated.
You will take responsibility for cashflow forecasting across the business incorporating liquidity management across multiple currencies. With the ability to undertake a wide ranging role, you will be responsible for raising funding focusing on short and long term through the money markets and debt capital markets.
This is a fantastic opportunity for someone who is ready for a new challenge or looking for a step up in responsibility. Ideally to you will obtain a professional qualification and has experience with FOREX as well as an understanding of the commodities market. Please contact David Clamp for more information or a confidential conversation.