Group Treasury Manager

Group Treasury Manager

Full-Time 60000 - 80000 £ / year (est.) No working from home possible
Centralis Group

At a Glance

  • Tasks: Lead treasury operations, manage cash, liquidity, investments, and FX activities.
  • Company: Join a dynamic, multicultural team at Centralis, a leader in financial services.
  • Benefits: Attractive salary, training support, flexibility, and opportunities for professional growth.
  • Other info: Collaborative environment with a focus on personal fulfilment and career development.
  • Why this job: Make a real impact by providing data-led recommendations and improving treasury processes.
  • Qualifications: Degree in Finance or related field; treasury experience preferred.

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

Today, Centralis employs over 600 highly experienced, multilingual professionals across all our jurisdictions and is led by an strong management team.

Our team has been selected from a diverse background, focusing on financial, investment and legal professionals with an exemplary client services track record.

Centralis specialises in providing a wide range of asset managers, fund, corporate, treasury, compliance & regulatory reporting, capital markets and business support services to private markets clients, international fund structures, real estate firms, regulated entities and multi-national corporates.

We are currently seeking a Group Treasury Manager to lead day-to-day treasury across cash, liquidity, investments, FX, hedging and reporting.

As the Group’s dedicated treasury lead, reporting in to the CFO, you will own a broad remit (global), work closely with banking partners, Finance and stakeholders, and provide clear insight to support confident decision making.

Key Responsibilities

  • Cash & Liquidity Management
  • Manage daily cash and liquidity, ensuring funds are secure, visible, and efficiently deployed.
  • Work with banking partners to identify suitable yield solutions and monitor counterparty exposure.
  • Maintain clear cash, liquidity, and investment analysis to support treasury decisions.
  • Execute FX and hedging activity, including forwards, options, spot transactions and hedge unwinds.
  • Assess currency and commodity-linked exposures and recommend practical risk management actions.
  • Monitor markets and share timely updates with relevant stakeholders.
  • Trade Management, Documentation & Controls
  • Record, reconcile and document treasury trades accurately and on time.
  • Maintain audit-ready documentation and support strong internal controls.
  • Investigate variances and elevate matters where appropriate.
  • Forecasting, Reporting & Analysis
  • Prepare treasury forecasts, reconciliations, variance analysis, and month-end reporting.
  • Provide clear commentary on FX, commodities, interest expenses, and related treasury activity.
  • Identify trends, risks and exceptions, recommending follow-up actions where needed.
  • Systems & Process Improvement
  • Improve treasury systems, reporting tools, and day-to-day processes.
  • Support enhancements, testing, and implementation from a treasury user perspective.
  • Business Partnering & Stakeholder Management
  • Act as a trusted treasury contact for banking partners, Finance and internal stakeholders.
  • Provide timely data, clear advice and practical decision support.
  • Manage competing requests with professionalism and follow-through.
  • Key Skills & Experience
  • Practical treasury experience, ideally in a multinational or multi-currency environment.
  • Experience owning treasury activity from analysis through to execution, controls and reporting.
  • Sound knowledge of cash investment, liquidity management, FX, hedging and exposure management.
  • Strong trade management discipline, including reconciliation and audit-ready documentation.
  • Confident using treasury systems, banking platforms and Excel, with an interest in automation and process improvement.
  • Excellent accuracy, judgement and communication skills, with the ability to explain risks and recommendations clearly.

Qualifications

  • Degree in Finance, Accounting, Economics or a related discipline.
  • Professional treasury qualification, such as ACT, is highly desirable.
  • Accounting qualification, such as ACA, ACCA or CIMA, would be advantageous.
  • Personal Attributes
  • Proactive, organised and comfortable taking ownership in a standalone treasury role.
  • Commercially aware, with the confidence to make data-led recommendations.
  • Collaborative, responsive, and committed to high standards of accuracy, control, and service.
  • Success in the Role
  • You will succeed by giving the Group clear visibility of cash, liquidity and exposures; ensuring treasury activity is well controlled and accurately reported; and providing practical, data-led recommendations that support confident decision making.
  • Your impact will also be seen through stronger processes, improved tools and a responsive treasury service for stakeholders.

What we offer

At Centralis, we work in a dynamic, human-size, multi-cultural environment.

We attach great importance to the personal fulfilment and professional development of our employees.

We offer you an interesting and rewarding job, an attractive salary package and a number of benefits, including training support and flexibility.

  • For further information about Centralis, visit us at www. centralisgroup. com
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Centralis Group

Contact Details:

Centralis Group Recruitment Team

We think you need these skills to ace Group Treasury Manager

Cash Management
Liquidity Management
FX and Hedging
Treasury Reporting
Trade Management
Variance Analysis
Stakeholder Management