Global Treasury Leader: Liquidity, FX & Funding

Global Treasury Leader: Liquidity, FX & Funding

Full-Time 75600 - 92400 £ / year (est.) No working from home possible
Clyde & CO

At a Glance

  • Tasks: Lead the treasury function, manage liquidity, FX exposure, and funding strategies across global operations.
  • Company: Clyde & Co, a leading international law firm with a dynamic work culture.
  • Benefits: Competitive salary, professional development, and opportunities for international collaboration.
  • Other info: Join a diverse team and enhance your career in a fast-paced, international setting.
  • Why this job: Shape global treasury strategies and make a significant impact in a high-stakes environment.
  • Qualifications: Proven experience in treasury management and strong leadership skills.

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

Clyde & Co in London is seeking an experienced Global Treasury Senior Manager to lead the firm’s treasury function across multiple currencies and jurisdictions.

The role reports to the Global Controller and shapes liquidity forecasting, funding strategy, FX exposure management and treasury controls.

You will drive improvements in cash forecasting, intercompany funding, bank relationships and treasury technology, guiding a global team in a high‑impact, international environment.

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Global Treasury Leader: Liquidity, FX & Funding employer: Clyde & CO

Clyde & Co is an excellent employer, offering a dynamic work environment in Glasgow that promotes flexibility with a hybrid working model. Employees benefit from a strong commitment to career development and diversity, ensuring that everyone has the opportunity to grow and thrive within the global finance function. With a focus on delivering high-quality services, the company fosters a collaborative culture where innovative ideas are valued and encouraged.

Clyde & CO

Contact Details:

Clyde & CO Recruitment Team

We think you need these skills to ace Global Treasury Leader: Liquidity, FX & Funding

Liquidity Forecasting
Funding Strategy
FX Exposure Management
Treasury Controls
Cash Forecasting
Intercompany Funding
Bank Relationship Management