Treasury Manager | Hybrid Role | Cash, FX & Forecasting in London
Treasury Manager | Hybrid Role | Cash, FX & Forecasting

Treasury Manager | Hybrid Role | Cash, FX & Forecasting in London

London Full-Time 36000 - 60000 Β£ / year (est.) Home office (partial)
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At a Glance

  • Tasks: Manage cash flow and oversee exciting treasury projects.
  • Company: Join a market-leading company with a strong reputation.
  • Benefits: Enjoy hybrid working, competitive salary, and career advancement opportunities.
  • Why this job: Make a real impact in treasury management while developing your skills.
  • Qualifications: 2-3 years of experience and qualified accountant status required.
  • Other info: Proactive attitude and strong Excel skills are essential for success.

The predicted salary is between 36000 - 60000 Β£ per year.

A leading recruitment agency is seeking a Treasury Manager for a market-leading company in Maidenhead. The successful candidate will contribute to cash management and oversee treasury projects.

Required qualifications include:

  • 2-3 years of relevant experience
  • Being a qualified accountant
  • Strong Excel skills
  • A proactive attitude

This position offers hybrid working options plus opportunities for advancement.

Treasury Manager | Hybrid Role | Cash, FX & Forecasting in London employer: Marc Daniels Specialist Recruitment

Join a market-leading company in Maidenhead as a Treasury Manager, where you will thrive in a dynamic work culture that values innovation and collaboration. With hybrid working options and a commitment to employee development, this role offers not only competitive benefits but also significant opportunities for career advancement in a supportive environment. Experience the unique advantage of working in a thriving location that fosters both professional growth and personal well-being.
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Contact Detail:

Marc Daniels Specialist Recruitment Recruiting Team

StudySmarter Expert Advice 🀫

We think this is how you could land Treasury Manager | Hybrid Role | Cash, FX & Forecasting in London

✨Tip Number 1

Network like a pro! Reach out to your connections in the finance world, especially those who work in treasury roles. A friendly chat can lead to insider info about job openings that might not even be advertised yet.

✨Tip Number 2

Prepare for interviews by brushing up on your Excel skills and understanding cash management strategies. We all know that being proactive is key, so come armed with examples of how you've tackled treasury projects in the past.

✨Tip Number 3

Don’t just apply anywhere; focus on companies that align with your career goals. Use our website to find roles that excite you, and tailor your approach to show why you're the perfect fit for their treasury team.

✨Tip Number 4

Follow up after interviews! A quick thank-you email can set you apart from other candidates. It shows your enthusiasm for the role and keeps you fresh in their minds as they make their decision.

We think you need these skills to ace Treasury Manager | Hybrid Role | Cash, FX & Forecasting in London

Cash Management
Treasury Projects Oversight
Qualified Accountant
Excel Skills
Proactive Attitude
Financial Forecasting
Analytical Skills
Attention to Detail

Some tips for your application 🫑

Tailor Your CV: Make sure your CV highlights your relevant experience in cash management and treasury projects. We want to see how your skills align with the role, so don’t be shy about showcasing your qualifications!

Show Off Your Excel Skills: Since strong Excel skills are a must-have for this role, include specific examples of how you've used Excel in your previous jobs. We love seeing those formulas and data analysis techniques in action!

Be Proactive in Your Cover Letter: Your cover letter is your chance to shine! Use it to demonstrate your proactive attitude and how you can contribute to our team. We’re looking for someone who’s ready to take initiative and drive results.

Apply Through Our Website: We encourage you to apply directly through our website. It’s the best way for us to receive your application and ensures you’re considered for this exciting opportunity. Don’t miss out!

How to prepare for a job interview at Marc Daniels Specialist Recruitment

✨Know Your Numbers

As a Treasury Manager, you'll be dealing with cash management and forecasting. Brush up on your financial metrics and be ready to discuss how you've successfully managed cash flow in previous roles. Use specific examples to showcase your expertise.

✨Excel Skills are Key

Since strong Excel skills are essential for this role, make sure you’re comfortable with advanced functions and data analysis. Consider preparing a quick demonstration of your Excel capabilities or discussing a project where you used these skills effectively.

✨Show Your Proactive Attitude

This position values a proactive approach, so think of instances where you took the initiative in past roles. Be prepared to share how you identified issues before they became problems and what steps you took to resolve them.

✨Research the Company

Familiarise yourself with the market-leading company’s recent projects and achievements. Understanding their treasury operations and challenges will help you tailor your responses and show that you're genuinely interested in contributing to their success.

Treasury Manager | Hybrid Role | Cash, FX & Forecasting in London
Marc Daniels Specialist Recruitment
Location: London
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