Liquidity & Cash Manager | Hybrid Treasury Leader

Liquidity & Cash Manager | Hybrid Treasury Leader

Full-Time No working from home possible
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evoke plc is seeking a Treasury Cash Manager to lead daily cash management, liquidity forecasting and governance across the group. You’ll own the end-to-end cash framework, drive reporting quality and partner with FP&A, banking and stakeholders to optimise funding.

You will champion continuous improvements, enhance forecast accuracy and contribute to a modern, technology-enabled Treasury operating model. The role may start fixed-term with potential permanency.

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Contact Details:

evoke Recruitment Team