Treasury Manager

Treasury Manager

Full-Time 60000 - 80000 £ / year (est.) No home office possible
Broster Buchanan

At a Glance

  • Tasks: Manage treasury operations, optimise cash, and mitigate foreign exchange risks across EMEA.
  • Company: Join a leading international organisation with a strong focus on finance and growth.
  • Benefits: Competitive salary, professional development, and exposure to senior finance stakeholders.
  • Other info: Dynamic environment with opportunities for career advancement and collaboration.
  • Why this job: Make a real impact in a high-profile role with broad exposure across multiple divisions.
  • Qualifications: Experience in treasury management and strong analytical skills required.

The predicted salary is between 60000 - 80000 £ per year.

Broster Buchanan is partnering with a leading international organisation to appoint a Treasury Manager with a focus on EMEA operations, liquidity management, and FX strategy. This is a high-profile role offering broad exposure across multiple divisions and currencies, working closely with senior finance stakeholders to optimise cash, manage risk, and support strategic growth.

About the Role

This position will take ownership of treasury activities across the region, ensuring effective cash management, robust forecasting, and proactive foreign exchange risk mitigation. You will play a key role in driving best practice, enhancing processes, and supporting business decisions through high-quality treasury insight.

Key Responsibilities

  • Manage treasury operations across EMEA, aligning regional activities with global policies
  • Build strong relationships with regional finance teams and partners
  • Ensure efficient cash visibility across multiple entities and jurisdictions
  • Oversee cash positioning and forecasting (short, medium, and long-term)
  • Implement and optimise cash pooling, netting, and funding structures
  • Ensure sufficient liquidity while minimising idle cash and borrowing costs
  • Support working capital optimisation and intercompany funding strategies
  • Identify, monitor, and manage FX exposures across a multi-currency environment
  • Execute hedging strategies (forwards, options, swaps) in line with policy

Treasury Manager employer: Broster Buchanan

Broster Buchanan is an exceptional employer, offering a dynamic work environment that fosters collaboration and innovation within the treasury function. With a strong focus on employee development and a commitment to best practices, you will have the opportunity to enhance your skills while working alongside senior finance stakeholders in a leading international organisation. The EMEA location provides a unique advantage, allowing for exposure to diverse markets and currencies, making this role both meaningful and rewarding.
Broster Buchanan

Contact Detail:

Broster Buchanan Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Treasury Manager

✨Tip Number 1

Network like a pro! Reach out to your connections in the finance world, especially those who work in treasury or related fields. A friendly chat can lead to insider info about job openings that aren't even advertised yet.

✨Tip Number 2

Prepare for interviews by brushing up on your knowledge of liquidity management and FX strategies. We recommend practising common interview questions and having examples ready that showcase your experience in managing cash and risk.

✨Tip Number 3

Don’t underestimate the power of follow-ups! After an interview, drop a quick thank-you email to express your appreciation. It keeps you fresh in their minds and shows your enthusiasm for the role.

✨Tip Number 4

Apply through our website for the best chance at landing that Treasury Manager role! We make it easy for you to showcase your skills and connect with potential employers directly.

We think you need these skills to ace Treasury Manager

Liquidity Management
Foreign Exchange Strategy
Cash Management
Forecasting
Risk Mitigation
Treasury Operations
Relationship Building
Cash Visibility
Cash Positioning
Cash Pooling
Intercompany Funding Strategies
FX Exposure Management
Hedging Strategies
Collaboration with Finance Teams

Some tips for your application 🫡

Tailor Your CV: Make sure your CV is tailored to the Treasury Manager role. Highlight your experience in liquidity management and FX strategy, as these are key aspects of the job. We want to see how your skills align with what we're looking for!

Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why you're the perfect fit for this role. Share specific examples of how you've managed treasury operations or improved cash visibility in previous positions. We love a good story!

Showcase Your Analytical Skills: As a Treasury Manager, you'll need strong analytical skills. In your application, mention any tools or methods you've used for cash forecasting or risk management. We want to know how you approach problem-solving and decision-making!

Apply Through Our Website: Don't forget to apply through our website! It’s the best way for us to receive your application and ensures you’re considered for the role. Plus, it gives you a chance to explore more about our company culture and values!

How to prepare for a job interview at Broster Buchanan

✨Know Your Treasury Fundamentals

Make sure you brush up on your treasury management principles, especially around liquidity management and FX strategies. Be ready to discuss how you've applied these concepts in previous roles, as this will show your understanding of the key responsibilities outlined in the job description.

✨Build Relationships in Advance

Since this role involves collaborating with senior finance stakeholders, it’s a good idea to research the company’s structure and key players. If possible, connect with current or former employees on LinkedIn to gain insights into their culture and expectations, which can help you tailor your responses during the interview.

✨Prepare for Scenario-Based Questions

Expect questions that ask you to solve hypothetical treasury challenges, such as managing cash positioning across multiple jurisdictions or executing hedging strategies. Practise articulating your thought process clearly, as this will demonstrate your analytical skills and ability to handle real-world situations.

✨Showcase Your Strategic Thinking

This role is about supporting strategic growth, so be prepared to discuss how you've contributed to business decisions through treasury insights in the past. Highlight specific examples where your actions led to improved cash management or risk mitigation, showcasing your ability to think strategically and drive best practices.

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