Group Treasury Manager
Leading Global B2B service provider with a reputation for innovation and service excellence has an exciting and challenging opportunity for a Group Treasury Manager. Following recent acquisitions, the group now has a need for a specialist Treasury Function. Based in Central London and reporting to the Global CFO, this role is new and will be responsible for setting up and leading this department. Key responsibilities include management of the Group's liquidity and funding, interest rate and FX exposure and efficiency, counterparty credit risk, and you will develop and recommend Treasury Policy to the Board. Ideally (but not essentially) ACA and/or ACT Qualified, you'll be an established professional who has led a Treasury function for an International business before, and who is used to leading complex banking relationships both in the UK and overseas. This is an excellent opportunity to make a real difference.