Treasury Manager: Cash Flow, FX & Forecasting

Treasury Manager: Cash Flow, FX & Forecasting

Full-Time No working from home possible
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Boots UK is seeking a Manager in our Finance team to lead treasury operations and drive cash flow forecasting and liquidity management across the UK and Ireland.

You will partner with FP&A, oversee treasury activities, monitor FX exposure, and deliver insightful financial analysis to support strategic decision-making. The role offers career development within a dynamic retail finance function.

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Treasury Manager: Cash Flow, FX & Forecasting employer: Boots UK

At Boots, we are redefining the beauty retail experience, and as a Beauty Specialist, you'll be at the forefront of this exciting journey. Our vibrant work culture fosters collaboration and shared success, with no individual commission pressure, allowing you to focus on creating genuine connections with customers. With extensive training opportunities, a generous product allowance, and a commitment to employee wellbeing, Boots is an exceptional employer dedicated to supporting your growth and helping you thrive in your career.

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Contact Details:

Boots UK Recruitment Team