Baker Charles

Treasury Manager£90,000 – £100,000 + bonus and excellent benefitsCentral London | HybridA large international business is recruiting a Treasury Manager to join its Group Treasury team. Reporting to the Head of Treasury, this is a broad, hands-on role covering cash forecasting, funding, foreign exchange, liquidity, banking and treasury controls.The role combines day-to-day treasury management with systems and process improvement, helping develop efficient, scalable and well-controlled Treasury operations across a complex international group.Key responsibilities include:Own the Group cash forecasting process, consolidating and challenging forecasts from international businessesManage intercompany funding, cash repatriation and the intercompany loan portfolioSupport the development of cash pooling and concentration structuresExecute FX and hedge transactions and oversee settlement, reconciliation and reportingReview Group FX exposures, identifying unhedged positions and natural offsetsManage bank guarantees, facilities, banking relationships, mandates and e-banking accessProduce cash, debt, FX and liquidity reporting for senior stakeholdersDevelop and operate robust Treasury controls across payments, banking and counterpartiesSupport implementation of a Treasury Management System, including requirements, UAT, migration and go-liveImprove and automate Treasury processes, controls and reportingWork closely with Finance, Tax, Legal, local teams, banks and external partners internationallyThe successful candidate will be AMCT and/or accountancy qualified with strong corporate treasury experience gained within a complex international organisation. You will have hands-on experience across cash forecasting, FX, intercompany funding and cash management within a multi-entity, multi-currency environment.You will be comfortable owning Group cash forecasting, executing FX transactions and managing cross-border cash movements. Strong Excel, stakeholder management and the ability to operate autonomously in an evolving environment will also be important.Experience implementing or improving a Treasury Management System would be particularly attractive, as would exposure to cash pooling, leveraged finance, bank connectivity, SAP, Finastra or 360T. PE-backed, leveraged or carve-out experience would also be advantageous.This is an excellent opportunity to take on a broad Treasury Manager role combining hands-on Treasury operations with systems, process improvement and transformation, with significant exposure to senior Finance stakeholders.For more information or to be considered for this opportunity, please apply with your CV or contact Baker Charles for a confidential discussion.

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