At a Glance
- Tasks: Manage cash, liquidity, and FX risk for a fast-growing consulting firm.
- Company: Join Elixirr, a dynamic global consulting firm with ambitious growth plans.
- Benefits: Competitive salary, career development, and a vibrant work culture in Central London.
- Why this job: Be part of an exciting journey to shape the future of consulting.
- Qualifications: Experience in corporate treasury and strong analytical skills required.
- Other info: Opportunity to work in a fast-paced environment with excellent career growth.
The predicted salary is between 36000 - 60000 £ per year.
Elixirr International plc is a global consulting firm with a bold ambition: to become the best consulting firm in the world. Founded in 2009, we have grown from a single vision into a powerhouse of entrepreneurial talent, delivering boardroom strategy through to execution. After IPO-ing on AIM in July 2020, Elixirr moved to the Main Market of the London Stock Exchange in July 2025. Our market cap has grown from £98 million to over £350 million - a testament to our differentiated approach and relentless pursuit of excellence.
With a presence across the UK, US, EU, and South Africa, and a client base spanning industries and geographies, we have welcomed seven boutique firms into the Group. This has broadened our capabilities across creative, digital marketing, data and AI, procurement, transformation, and more. Our vision of becoming a services unicorn is firmly within reach - and this is just the beginning. We are looking for exceptional talent to join us on this exciting growth journey and shape the future of consulting.
Location
London - Our headquarters are in Central London. It’s where it all began for us and continues to be a hub of innovation and growth.
Job Summary
We are seeking an experienced and strategically minded Treasury Manager to join a dynamic and fast-growing listed company. The successful candidate will oversee all aspects of cash, liquidity, and FX risk management, ensuring the company maintains a robust financial position and optimised capital structure. This role requires strong analytical capability, and the ability to partner effectively across finance, banking, and senior leadership.
Key Responsibilities
- Cash & Liquidity Management
Oversee weekly global cash and RCF positions, ensuring efficient utilisation of funds. Maintain short and medium-term cash flow forecasting models; quantify forecast covenant metrics, identify variances, and drive improvements in forecasting accuracy. Manage internal funding processes and intercompany loan structures. - Banking & Capital Markets
Assist the CFO and Finance Principal to manage banking relationships and act as the primary day‐to‐day point of contact for banking partners. Drive improvements in banking structure, including consolidation of banking providers globally. - Risk Management
Identify, assess, and manage FX exposure across the Group. - Treasury Operations & Controls
Maintain strong internal controls, governance, and compliance across all treasury activities. Oversee KYC, onboarding, and mandate administration for global bank accounts. Implement process improvements and automation. - Reporting & Stakeholder Engagement
Produce treasury reporting packs for senior management. Produce quarterly reporting required for debt providers. Provide insight on liquidity, covenant compliance, and risk positions. Partner with Finance, Tax, and M&A teams to support strategic projects and M&A activity. Support year-end and half-year audit cycles and ensure accurate treasury disclosures.
Skills & Experience Required
- Essential
Proven experience in a corporate treasury role within a FTSE-listed or other multinational environment. Strong understanding of cash management, revolving credit and term loan agreements, and FX risk. Advanced Excel skills; familiarity with Treasury Management Systems. Excellent communication skills and ability to engage at senior levels. Strong analytical, problem‐solving, and organisational skills. - Desirable
AMCT qualification (or progress towards it); ACA/ACCA/CIMA also advantageous. Exposure to transformational projects, system implementations, or process automation initiatives.
Personal Attributes
Highly organised and detail‐orientated. Commercially aware with a proactive, solution-oriented mindset. Comfortable working in a fast-paced, listed-company environment with competing priorities. Demonstrates integrity, sound judgment, and strong governance focus.
Treasury Manager in London employer: Elixirr Consulting
Contact Detail:
Elixirr Consulting Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Treasury Manager in London
✨Tip Number 1
Network like a pro! Reach out to connections in the finance and consulting sectors, especially those who might know someone at Elixirr. A friendly chat can open doors that a CV just can't.
✨Tip Number 2
Prepare for interviews by researching Elixirr's recent projects and their approach to treasury management. Show us you’re not just another candidate; demonstrate your understanding of their business and how you can add value.
✨Tip Number 3
Practice your pitch! Be ready to explain your experience in cash management and FX risk clearly and confidently. We want to hear how your skills align with our ambitious goals.
✨Tip Number 4
Don’t forget to apply through our website! It’s the best way to ensure your application gets seen by the right people. Plus, it shows you’re genuinely interested in joining our team.
We think you need these skills to ace Treasury Manager in London
Some tips for your application 🫡
Tailor Your CV: Make sure your CV is tailored to the Treasury Manager role. Highlight your experience in cash management and FX risk, and don’t forget to showcase those advanced Excel skills we’re looking for!
Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why you’re the perfect fit for Elixirr and how your background aligns with our ambitious goals. Keep it engaging and professional.
Showcase Your Analytical Skills: Since this role requires strong analytical capabilities, be sure to include examples of how you've used these skills in previous positions. We want to see how you’ve driven improvements and managed risks effectively.
Apply Through Our Website: We encourage you to apply through our website for a smoother application process. It’s the best way for us to receive your application and get to know you better!
How to prepare for a job interview at Elixirr Consulting
✨Know Your Numbers
As a Treasury Manager, you'll need to demonstrate your strong analytical skills. Brush up on cash management metrics, FX risk assessments, and your experience with revolving credit agreements. Be ready to discuss specific examples where you've improved forecasting accuracy or managed liquidity effectively.
✨Showcase Your Communication Skills
This role requires excellent communication, especially when engaging with senior leadership and banking partners. Prepare to share instances where you've successfully navigated complex discussions or built strong relationships with stakeholders. Practice articulating your thoughts clearly and confidently.
✨Demonstrate Your Problem-Solving Ability
Elixirr values a proactive, solution-oriented mindset. Think of challenges you've faced in previous roles, particularly in treasury operations or risk management, and how you overcame them. Highlight any process improvements or automation initiatives you've led to showcase your innovative thinking.
✨Understand the Company’s Vision
Familiarise yourself with Elixirr's growth journey and their ambition to become a services unicorn. Be prepared to discuss how your experience aligns with their goals and how you can contribute to their vision. Showing that you understand their market position will set you apart from other candidates.