looking for a Treasury Manager responsible for the day-to-day management of the Company's global treasury operations, supporting liquidity management, banking activities, treasury controls, cash forecasting and O2C optimization. Working closely with the Head of Treasury, this role ensures efficient treasury execution while maintaining strong governance, operational resilience … flow forecasting to ensure effective treasury operations and working capital optimisation. Execute treasury transactions, including payments, settlements, intercompany funding, and cash movements across global banking networks. Oversee digital asset treasury operations, including wallet management, reconciliations, custodial relationships, and operational controls. Maintain treasury policies, controls, and procedures while ensuring compliance with ...