Michael Page Finance is recruiting a Treasury Assistant Manager to shape cash and liquidity management processes and lead forecasting across the group. The role supports the new Group Treasury function, with visibility from day one in a growing team.
You will oversee daily cash positioning, ensure funds are available in the right entities and currencies, and manage 13-week liquidity forecasting while challenging local forecasts for accuracy and cash discipline.
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Treasury Assistant Manager - Cash & Liquidity employer: Michael Page Finance
Join a leading accountancy practice in Exeter, where you will be part of a dynamic and supportive work culture that prioritises employee growth and development. With a diverse client portfolio and a strong team of tax professionals, this firm offers meaningful career progression opportunities and the flexibility of part or full-time hours, making it an excellent employer for those seeking a rewarding role in personal tax management.