Chalk Hill Group is seeking a proactive Treasury Manager on a 9-month fixed-term basis to lead cash flow, liquidity management and relationships with banking partners. You will own forecasting, reporting and commercial insights to support a major transformation program.
You will engage with Finance leadership to optimise working capital and implement treasury controls, systems improvements and automated forecasting. A relevant professional qualification is desirable.
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Strategic Treasury Manager: Liquidity & Cash Flow Lead in Portsmouth employer: Chalk Hill Group
Chalk Hill Group is an excellent employer that values hands-on leadership and offers a dynamic work environment near Gatwick. With a strong focus on employee growth, you will have the opportunity to mentor junior staff while making a significant impact on finance processes within the company. The supportive culture encourages innovation and collaboration, making it a rewarding place for professionals looking to advance their careers in finance.