Boots is seeking a Manager - Treasury Operations in London (Sedley). In this role you will lead short-, mid- and long-term cash flow forecasting, manage daily treasury activities and monitor FX exposure to optimise liquidity.
You will partner with FP&A to analyse variances and drive improvements across working capital and reporting processes. You will oversee treasury operations, ensure regulatory compliance, and contribute to budgeting and long-range planning.
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Treasury Operations Manager β Lead Cash Flow & FX (London) employer: BOOTS
Boots is an exceptional employer, especially for those looking to make a meaningful impact during the festive season. With a strong emphasis on teamwork and customer service, employees enjoy a supportive work culture that fosters personal growth and offers industry-recognised training. Additionally, the generous employee discounts and wellbeing support ensure that staff feel valued and motivated throughout their time with us in London.