Leave us your email address and we'll send you all the new jobs according to your preferences.
Group Treasury Manager
Posted 6 days 19 hours ago by Robert Walters UK
We are hiring a Group Treasury Manager for a global real estate company based in London. You will oversee the day-to-day Treasury operations at a global level, with key focus on UK and International business. The role encompasses managing liquidity across multiple accounts and currencies, transitioning from autonomous country reporting to centralized reporting and control, as well as supporting financial growth in both domestic and international markets.Hybrid 3 days/2 wfh
Key Responsibilities- Treasury operations: Drive Treasury Management System (TMS) strategies for global automation; review cash forecasts, ensuring accuracy and alignment with business needs; standardize reporting and cash visibility across all subsidiaries; ensure efficiency in payments, bank account structures, and cash forecasting; act as advisor to senior management on capital structure and financing options to maximizing cash management; FX management, Cash pooling, managing Partner capital loans and treasury policy.
- Liquidity & funding: Ensure sufficient liquidity for group operations across geographies; oversee intercompany financing structures where appropriate and transfer pricing alignment.
- Stakeholder Management: Partner with CFO, Tax, legal, FP&A and the broader finance teams on cash management, funding and cross-functional projects; support M&A activities where appropriate with Treasury due diligence and cash repatriation strategies; manage relationships with key banking partners and other financial institutions, including the negotiation of terms for banking services and revolving credit facilities (where relevant).
- Compliance and reporting: Ensure compliance with financial regulations, tax, and internal controls; deliver treasury reports to CFO, Audit Committee, and regulators (if applicable); support local audits and appropriate financial disclosures as may be required.
- Treasury Systems: Oversee administration of various treasury systems on a day-to-day basis; liaise with banking, software and FinTech providers regarding the treasury systems; review appropriate upgrades to the systems as and when required, ensuring the control environment for all treasury systems are maintained to the highest standard and recommend improvements if necessary.
- Other Treasury Activities: Resolve payment issues with the banks as and when they arise; liaise with the business and banks; ensure bank accounts are effectively managed; opening new accounts, maintaining mandates and closing redundant accounts; management of bank guarantees.
- Desirable qualifications: recognized Treasury qualification (ACT) / Diploma in Treasury management.
Contract Type: Permanent
Specialism: Accountancy & Finance
Focus: Treasury
Salary: £90,000 - £95,000 per annum + discretionary bonus, private healthcare
Workplace Type: Hybrid
Experience Level: Senior Management
Location: London
Robert Walters Operations Limited is an employment business and employment agency and welcomes applications from all candidates
Date posted: 8 October 2025