Group Treasury Manager
- Hiring Organisation
- Jobleads-UK
- Location
- Hatfield, England, United Kingdom
liquidity process, helping to maintain accurate liquidity forecasting and cash visibility. Support the development and execution of the Group funding strategy, including facilities management, covenant compliance and counterparty reporting requirements. Manage financial risk activity across foreign exchange, interest rate and counterparty risk, ensuring alignment with Group policy. … need Significant corporate treasury experience, ideally gained within a large, complex or international organisation. Strong experience in liquidity forecasting, funding and financial risk management. Experience operating in an international corporate environment and working across multiple jurisdictions. Excellent stakeholder management, communication and business partnering skills. Confidence working with senior ...