We have a fantastic new opportunity available for a Senior Treasury Manager to join a regulated financial services group.
Key duties will include:
- Be part of the team that will scope, implement and manage new Foreign Exchange trading and risk management service
- Assist with the development of the cash management function to support the growing needs of the business
- Lead on internal communications to promote new Banking and Treasury function
- Keep up to date on external macro factors impacting the Treasury marketplace including new systems, banks and third-party providers, changing appetites to product/service offerings and regulatory developments
More information about this role is available upon request – contact the team today for further details.