CMC Consulting Ltd, a rapidly expanding FinTech, is seeking a Treasury Manager to own treasury, cash management and liquidity across the Group. You will build and develop treasury processes as the business scales, working closely with the CFO and senior Finance stakeholders.
You will manage cash forecasting, reconciliations and controls, identify automation opportunities, and provide insight into liquidity and funding needs.
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Strategic Treasury Manager: Cash, Liquidity & Growth in London employer: CMC Consulting Ltd
Join a dynamic and ambitious team in the heart of London, where you'll have the opportunity to work alongside seasoned professionals in the European Debt Advisory sector. Our collaborative work culture fosters innovation and personal growth, providing you with the tools and support needed to excel in complex financing transactions across multiple regions. With a focus on employee development and a commitment to excellence, we offer a rewarding environment for those looking to advance their careers in a fast-paced international setting.