EMEA Treasury Leader β€” Cash, FX & Liquidity Strategy

EMEA Treasury Leader β€” Cash, FX & Liquidity Strategy

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

  • Tasks: Lead treasury operations and drive efficiency across EMEA with a focus on cash management and FX hedging.
  • Company: Join Cushman & Wakefield, a global leader in real estate services.
  • Benefits: Competitive salary, professional development, and a dynamic work environment.
  • Other info: Opportunity for career growth and involvement in transformative projects.
  • Why this job: Make a significant impact on treasury strategy and operations in a collaborative setting.
  • Qualifications: Experience in treasury management and strong collaboration skills required.

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

Cushman & Wakefield in London is seeking a Senior Treasury Manager for EMEA to lead treasury operations across the region.

You will partner with Finance, Tax, Legal, Controllership, and banking partners to strengthen controls and drive efficiency.

The role focuses on treasury administration, cash management, FX hedging, intercompany loans, and treasury-related transformation projects, with senior leadership updates and ongoing process improvements.

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EMEA Treasury Leader β€” Cash, FX & Liquidity Strategy employer: Cushman & Wakefield

Cushman & Wakefield is an exceptional employer that fosters a dynamic and collaborative work culture, particularly for the EMEA Treasury Manager role based in London. Employees benefit from comprehensive professional development opportunities, a commitment to operational excellence, and the chance to engage in transformative projects that drive the company's success in a fast-paced environment. With a focus on teamwork and innovation, this position offers a rewarding career path in a globally recognised firm.

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Contact Details:

Cushman & Wakefield Recruitment Team

We think you need these skills to ace EMEA Treasury Leader β€” Cash, FX & Liquidity Strategy

Treasury Operations
Cash Management
FX Hedging
Intercompany Loans
Process Improvement
Financial Analysis
Stakeholder Management