A treasury manager is sought by an international leisure company based in Central London. The company is rapidly growing and looks set to continue this trend, and therefore need a treasury manager to head up the team.
Key responsibilities include, but aren’t limited to:
Responsible for treasury strategy, risk and cash management, cash flow forecasting and fx hedging
Develop and maintaining banking relationships
Flexibility to work across finance function if and when required
The successful candidate will be a qualified accountant/treasurer with experience across a corporate treasury function and in accounting. The ability to work independently and self motivate is a necessity. A confident demeanour and a technical awareness is a must.