Treasury Manager (Controls & Transformation)
Meet Our Recruiter
About the Role
I'm working with a global, multi-entity business looking to hire a Treasury Manager into their London team, with a focus on strengthening how treasury is structured, controlled, and operated across the group.
This isn't a traditional treasury role and it's not cash management. It's about understanding how money flows across a complex organisation, improving how it's structured, and putting the right frameworks and controls in place.
The Role
Reporting into the Head of Treasury, you'll step into a highly visible position working across Finance, Tax, and senior stakeholders, including exposure to board-level activity.
You'll play a key role in shaping how treasury operates across multiple entities and jurisdictions, with a particular focus on inter company funding, FX, and internal frameworks.
What You'll Be Doing
* Take ownership of inter company lending and funding structures across a complex international group
* Support the design and implementation of interest rate methodologies and internal funding frameworks
* Analyse FX exposure and contribute to real-world currency and risk decisions
* Drive improvements across treasury controls, documentation, and governance
* Partner with Finance and Tax on transfer pricing and funding structures
* Work closely with Company Secretariat on legal and structural documentation
* Act as a key point of contact for auditors and senior stakeholders
* Play a key role in improving systems, processes, and treasury workflows (TMS)
* Provide direction and structure to a junior team member
What They're Looking For
* ACA/CA/ACCA qualified (Top 10 firm background strongly preferred)
* Experience within a large, multinational or blue-chip environment
* Strong grounding in technical accounting with exposure to treasury-related areas
* Experience with inter company, FX, interest or funding structures
* Someone confident, articulate, and comfortable operating in a stakeholder-heavy environment
* A mindset focused on improving and building, not just maintaining
Why This Role Stands Out
* A genuine opportunity to shape and improve treasury, not just operate within it
* Strong visibility across a global finance function and senior leadership
* A role that sits between technical accounting, treasury, and strategy
* Exposure to complex, multi-entity international operations
* Clear progression into more senior treasury or finance leadership roles
Package
* £80,000 - £90,000 base
* Bonus / profit share
* Strong benefits package
* Hybrid working (2 days in office)
