Overview
People. Passion. Pride. This is what has driven our teams since 1833.
Since that time, we have developed to become a critical partner in the global aviation industry, delivering time-critical logistics services at 350 locations in more than 65 countries, across six continents.
But at the heart of our business is our people.
Role Purpose
The Treasury Manager (Cash) plays a key role in ensuring the effective management of liquidity, banking relationships, and cash flow across the Group. Operating in a complex and fast-paced international environment, the role combines hands‑on operational treasury with strategic support to the Senior Treasury manager and Group Treasurer to ensure the organisation maintains strong financial resilience and flexibility to support growth.
What you will be doing
- Monitor and actively manage the Group's daily cash position, ensuring sufficient liquidity across all entities
- Oversee global cash pooling arrangements and optimise cash allocation across regions
- Support efficient cash repatriation strategies including intercompany transfers and dividend planning
- Ensure effective utilisation of cash resources across a multi‑currency environment
- Manage and consolidate short‑term and medium‑term cash flow forecasts
- Review and challenge forecasts from regional finance teams to ensure accuracy and consistency
- Support annual budgeting and forecasting processes, aligning treasury strategy with financial plans
Safety, Security, Wellbeing and Compliance
You will have a responsibility and duty whilst at work to take reasonable care of the health, safety and wellbeing of yourself and others in accordance with provided information, training, and workplace health and safety rules or procedures. The company is committed to providing a safe working environment for all staff members. In all areas of our business there is a potential risk to the health, safety and welfare to everyone on our sites through the misuse of alcohol and drugs. As such the Company prohibits such misuse and carries out regular testing to enforce our Substance Misuse Policy.
What we are looking for
- Qualified accountant (ACA/ACCA/CIMA) or relevant treasury qualification (e.g. AMCT), preferred
- Proven experience in treasury or cash management within a global, multi‑entity organisation
- Experience managing liquidity, forecasting, and banking relationships across multiple currencies
- Exposure to complex international operations (aviation, logistics, or similar sectors advantageous)
- Strong understanding of working capital management and cash optimisation
- Strong analytical and problem‑solving capability
- High attention to detail with strong financial control mindset
Diversity
Menzies Aviation are a committed equal opportunity employer and encourage applications for suitably qualified and eligible applicants regardless of sex, race, disability, age, sexual orientation, gender reassignment, religion or belief, marital status, pregnancy, and maternity. We strive to create an inclusive working environment, where the different knowledge, perspectives, experiences, and approaches of our global workforce are represented. Where everyone feels valued and can reach their full potential.