John Menzies in Greater London is seeking a Treasury Manager (Cash) to ensure effective cash flow and liquidity management across the Group. This role combines operational treasury duties with strategic support for senior finance staff to strengthen the organization's financial resilience.
The ideal candidate will be a qualified accountant with experience in treasury management within a global context. Strong analytical skills and attention to detail are essential. Applicants should be ready to lead major cash management initiatives and contribute to annual financial planning.
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