At a Glance
- Tasks: Lead front-office treasury operations, including cash management and FX execution.
- Company: Join a globally recognised organisation focused on innovation and sustainability.
- Benefits: Enjoy a competitive salary, hybrid working model, and a culture of collaboration.
- Why this job: Be part of transformational projects in a high-growth environment that values your ideas.
- Qualifications: 5+ years in multinational treasury functions with strong analytical skills required.
- Other info: Opportunity for personal development and exposure to M&A activities.
The predicted salary is between 64000 - 96000 £ per year.
This is a hybrid Treasury Manager role within a dynamic global team, focused on leading front-office treasury operations including cash management, FX execution, and strategic support for M&A activities. The position offers exposure to transformational projects, senior stakeholder engagement, and the chance to shape treasury processes within a high-growth, international business.
My client is a globally recognised organisation with a strong presence across key international markets. They are known for delivering high-impact solutions that help businesses operate more efficiently, innovate faster, and adapt to change with confidence. With a strong emphasis on progress and continuous improvement, the business fosters a culture of curiosity, agility, and shared success. They are investing heavily in technology, sustainability, and people, creating an environment where new ideas are encouraged and real impact is made. Collaboration and inclusivity are at the heart of their way of working. Teams are empowered to think creatively, work cross-functionally, and support one another in delivering meaningful outcomes for customers and communities alike. This is an exciting opportunity to be part of a forward-looking company that values growth, not just in the bottom line, but in the careers and potential of its people.
Reporting to the Senior Treasury Manager and forming part of a midsized global treasury team, this hybrid role is pivotal to the front-office operations of the group treasury function. It offers a blend of strategic involvement and hands-on responsibility, supporting the group's evolving financial landscape.
- Cash & Liquidity Management
- Lead global daily front-office treasury activities, including cash positioning, repatriation, intercompany funding, FX execution, and investments.
- Optimise global cash pooling structures and support efficient use of the group's banking infrastructure.
- Approve settlements relating to debt, derivatives, FX, and interest.
- Collaborate with shared services, market units, and banking partners to ensure smooth treasury operations.
- Support the treasury integration and onboarding of M&A activity.
- Operational Oversight & Reporting
- Oversee core treasury processes, ensuring timely and accurate execution.
- Manage reconciliations and support robust cash flow forecasting using Kyriba (TMS).
- Prepare interest rate risk reports for the Global Head of Treasury and Tax.
- Produce monthly treasury performance reports for senior stakeholders, including the CFO.
- Address ad hoc treasury queries and offer practical, data-informed solutions.
- Compliance & Audit
- Assist in internal and external audit processes for treasury operations.
- Ensure compliance with internal policies and relevant regulatory frameworks.
Technical Competencies
- Strong analytical and technical skills in FX management, cash forecasting, and treasury risk analysis.
- Advanced Excel capabilities and experience using Treasury Management Systems (ideally Kyriba).
- Proficient in analysing multi-currency cash data and financial exposures.
Strategic & Behavioural Attributes
- Proven ability to thrive in high-change, fast-paced environments.
- Excellent communication skills, both written and verbal.
- Capable of managing multiple priorities independently with precision and accountability.
- Detail-focused, proactive, and committed to continuous improvement.
- Collaborative team player who shares insights and contributes to group success.
- Able to anticipate challenges and respond with thoughtful, data-driven solutions.
Experience & Qualifications
- Minimum 5 years' experience in multinational treasury functions with a focus on front-office activities.
- Solid experience in multi-currency cash pooling, FX exposure management, and restricted cash oversight.
- Background in organisations undergoing transformation or private equity ownership is highly beneficial.
- Strong spreadsheet modelling and reporting skills.
- Part-qualified or fully qualified AMCT is desirable but not essential.
Job Offer
- A competitive salary package aligned with experience and qualifications. £80,000 to £90,000 Base Range.
- Hybrid working model with flexibility to split time between home and the Staines office.
- A collaborative, forward-thinking treasury team within a high-growth global business.
- Exposure to transformational projects, including M&A and treasury system optimisation.
- A culture of innovation, inclusion, and impact - where employees are empowered to make a real difference.
- A company with a strong commitment to sustainability, diversity, and ongoing personal development.
Front Office Treasury Manager employer: Michael Page Finance
Contact Detail:
Michael Page Finance Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Front Office Treasury Manager
✨Tip Number 1
Network with professionals in the treasury field, especially those who have experience in front-office operations. Attend industry events or webinars to connect with potential colleagues and learn about the latest trends in cash management and FX execution.
✨Tip Number 2
Familiarise yourself with Treasury Management Systems, particularly Kyriba, as this role requires hands-on experience with such tools. Consider taking online courses or tutorials to enhance your skills and demonstrate your commitment to mastering the necessary technology.
✨Tip Number 3
Prepare to discuss your experience with multi-currency cash pooling and FX exposure management during interviews. Be ready to provide specific examples of how you've successfully managed these areas in previous roles, showcasing your analytical and strategic thinking.
✨Tip Number 4
Research the company’s recent M&A activities and transformational projects. Understanding their strategic goals will allow you to tailor your discussions and show how your skills can contribute to their ongoing success and innovation.
We think you need these skills to ace Front Office Treasury Manager
Some tips for your application 🫡
Tailor Your CV: Make sure your CV highlights relevant experience in treasury management, particularly in cash management and FX execution. Use specific examples that demonstrate your analytical skills and ability to thrive in fast-paced environments.
Craft a Compelling Cover Letter: In your cover letter, express your enthusiasm for the role and the company. Mention how your background aligns with their focus on innovation and collaboration. Be sure to include specific achievements that showcase your strategic involvement in treasury operations.
Highlight Technical Skills: Emphasise your technical competencies, especially your experience with Treasury Management Systems like Kyriba and advanced Excel skills. Provide examples of how you've used these tools to improve treasury processes or manage multi-currency cash data.
Showcase Soft Skills: Demonstrate your communication skills and ability to work collaboratively. Mention instances where you successfully managed multiple priorities or contributed to team success, as these attributes are highly valued by the company.
How to prepare for a job interview at Michael Page Finance
✨Showcase Your Analytical Skills
As a Front Office Treasury Manager, you'll need strong analytical skills. Be prepared to discuss your experience with FX management and cash forecasting. Use specific examples from your past roles to demonstrate how you've successfully navigated complex financial situations.
✨Emphasise Collaboration
This role requires working closely with various teams and stakeholders. Highlight your ability to collaborate effectively and share insights. Discuss any experiences where you contributed to team success or helped resolve conflicts within a group setting.
✨Prepare for Technical Questions
Expect questions related to treasury management systems, particularly Kyriba. Brush up on your technical knowledge and be ready to explain how you've used such systems in previous roles. This will show your readiness to hit the ground running.
✨Demonstrate Adaptability
The company values agility and adaptability. Share examples of how you've thrived in fast-paced environments or managed multiple priorities. This will illustrate your capability to handle the dynamic nature of the role and contribute to the company's growth.