Global Treasury Leader: Cash & FX Strategy

Global Treasury Leader: Cash & FX Strategy

Full-Time 75600 - 92400 £ / year (est.) No working from home possible
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At a Glance

  • Tasks: Lead treasury activities, manage liquidity, funding, and FX risk across global currencies.
  • Company: Clyde & Co LLP, a leading law firm with a strong finance team.
  • Benefits: Competitive salary, leadership opportunities, and a dynamic work environment.
  • Other info: Join a collaborative team focused on innovation and improvement.
  • Why this job: Shape the future of treasury management in a prestigious firm.
  • Qualifications: Experience in treasury management and strong leadership skills.

The predicted salary is between 75600 - 92400 £ per year.

Clyde & Co LLP is seeking an experienced Global Treasury Senior Manager to join the finance function in London.

You will lead the firm’s treasury activities, shaping liquidity, funding, FX risk management, and governance across currencies and jurisdictions.

The role reports to the Global Controller and offers senior leadership within Group Controllership.

You will oversee forecasting, banking relationships, facilities, and treasury controls, with a focus on automation, improvements, and

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Global Treasury Leader: Cash & FX Strategy employer: Clyde and Co LLP

Clyde & Co is an exceptional employer, offering a dynamic and inclusive work environment in London where you can lead global treasury activities within a prestigious international firm. With a strong focus on employee growth through structured learning programmes and secondment opportunities, the company fosters a culture of collaboration and innovation, ensuring that every team member can thrive while contributing to meaningful projects. Enjoy modern, flexible working arrangements and a comprehensive benefits package that prioritises your wellbeing and professional development.

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Contact Details:

Clyde and Co LLP Recruitment Team

We think you need these skills to ace Global Treasury Leader: Cash & FX Strategy

Treasury Management
Liquidity Management
FX Risk Management
Governance
Forecasting
Banking Relationships
Treasury Controls