Company: COMMUNICATE RECRUITMENT SOLUTIONS LTD
Job Type: Permanent, FullTime
Salary: £80,000 - £100,000 per annum
Group Treasury Manager
Salary: £80,000 – £100,000 + benefits + equity
London (Hybrid)
About the Opportunity
We are pleased to be partnering with a high-growth, technology-driven financial services organisation to support them in hiring a Group Treasury Manager. This is a key leadership role offering the chance to shape and own liquidity, capital, and funding strategy within a scaling, multi-entity business operating across several markets. With a strong product focus and ambitious growth plans, this organisation is looking for someone who can combine strategic thinking with hands-on execution - ensuring financial resilience while enabling innovation.
The Role
As Group Treasury Manager, you will take ownership of treasury operations and play a central role in supporting the company’s growth. Working closely with senior stakeholders and cross-functional teams, you’ll ensure that treasury strategy aligns with both business objectives and regulatory requirements.
Key Responsibilities
- Lead and optimise treasury operations, including banking structures and regulatory compliance
- Own liquidity and capital planning across multiple entities and jurisdictions
- Oversee cash flow forecasting to maintain strong and efficient liquidity positions
- Manage debt facilities, ensuring effective utilisation and ongoing covenant compliance
- Develop and implement strategies for investing surplus cash
- Build and manage key banking relationships to secure competitive and reliable financial arrangements
- Act as a first line of defence for financial risk, including stress testing and scenario analysis
- Partner with product and commercial teams to embed treasury considerations into new initiatives
- Work on automation and process improvements - in particular taking ownership of the TMS
About You
- Proven treasury experience within a regulated financial services environment
- Experience operating across multiple legal entities and regulatory frameworks
- Strong background in liquidity management, capital planning, and forecasting
- Track record of working with banking partners to optimise returns and manage cash effectively
- Collaborative approach with experience working alongside product or commercial teams
- Strong analytical mindset with the ability to influence strategic decisions
- Comfortable in a fast-paced, evolving environment with high levels of ownership
Why Apply?
- Strategic impact - play a key role in shaping treasury at group level
- Growth environment - join a business scaling across markets
- Autonomy & ownership - real influence over decisions and direction
- Flexible working - hybrid model with a strong focus on work-life balance
- Attractive package - competitive salary, benefits, and equity participation
Diversity & Inclusion
Our client is committed to building an inclusive and diverse workforce. Applications are welcomed from all backgrounds, with hiring decisions based on merit, skills, and potential.
Apply Now!