Treasury Manager – Cashflow, FX & Funding Strategy (Hybrid) in City of London
Treasury Manager – Cashflow, FX & Funding Strategy (Hybrid)

Treasury Manager – Cashflow, FX & Funding Strategy (Hybrid) in City of London

City of London Full-Time 48000 - 72000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Manage cashflow forecasting and prepare insightful reports for investment activities.
  • Company: Leading recruitment agency based in the vibrant City of London.
  • Benefits: Hybrid work model with flexibility to work from home and competitive pay.
  • Why this job: Join a dynamic team and make a real impact in the financial sector.
  • Qualifications: Demonstrable Treasury management experience, ideally in Insurance or Financial Services.
  • Other info: 9-month fixed-term contract with opportunities for professional growth.

The predicted salary is between 48000 - 72000 £ per year.

A leading recruitment agency is seeking a Treasury Manager for a 9-month fixed-term contract based in the City of London. The role involves managing cashflow forecasting, preparing reports, and supporting investment activities.

Candidates should have demonstrable Treasury management experience and ideally be familiar with the Insurance or Financial Services sector.

The position offers a hybrid work model, allowing two days in the office and three days working from home.

Treasury Manager – Cashflow, FX & Funding Strategy (Hybrid) in City of London employer: Pavilion Recruitment Solutions

As a leading recruitment agency, we pride ourselves on fostering a dynamic and inclusive work culture that prioritises employee well-being and professional growth. Our hybrid work model not only offers flexibility but also encourages collaboration and innovation, making it an ideal environment for Treasury Managers looking to make a meaningful impact in the financial services sector. With access to ongoing training and development opportunities, our employees are empowered to advance their careers while enjoying the vibrant atmosphere of the City of London.
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Contact Detail:

Pavilion Recruitment Solutions Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Treasury Manager – Cashflow, FX & Funding Strategy (Hybrid) in City of London

Tip Number 1

Network like a pro! Reach out to your connections in the finance and insurance sectors. We all know that sometimes it’s not just what you know, but who you know that can land you that Treasury Manager role.

Tip Number 2

Prepare for those interviews by brushing up on your cashflow forecasting skills. We recommend practising common interview questions related to Treasury management so you can showcase your expertise confidently.

Tip Number 3

Don’t forget to highlight your experience with FX and funding strategies during interviews. We want to see you shine, so make sure you have examples ready that demonstrate your impact in previous roles.

Tip Number 4

Apply through our website! It’s super easy and ensures your application gets the attention it deserves. Plus, we’re always on the lookout for talented individuals like you to join our network.

We think you need these skills to ace Treasury Manager – Cashflow, FX & Funding Strategy (Hybrid) in City of London

Cashflow Forecasting
Treasury Management
Report Preparation
Investment Activities Support
Financial Services Knowledge
Insurance Sector Familiarity
Analytical Skills
Communication Skills

Some tips for your application 🫡

Tailor Your CV: Make sure your CV highlights your Treasury management experience, especially in cashflow forecasting and reporting. We want to see how your skills align with the role, so don’t be shy about showcasing your relevant achievements!

Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why you’re the perfect fit for the Treasury Manager role. Mention your familiarity with the Insurance or Financial Services sector if applicable, and let us know what excites you about this opportunity.

Be Clear and Concise: When filling out your application, keep your language clear and to the point. We appreciate straightforward communication, so avoid jargon unless it’s relevant to the role. This helps us understand your qualifications quickly!

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 the role. Plus, it’s super easy – just follow the prompts and you’ll be all set!

How to prepare for a job interview at Pavilion Recruitment Solutions

Know Your Cashflow Inside Out

Make sure you brush up on your cashflow forecasting skills. Be ready to discuss specific methods you've used in the past and how they benefited your previous employers. This role is all about managing cash effectively, so show them you know your stuff!

Familiarise Yourself with FX Strategies

Since this position involves FX and funding strategy, it’s crucial to understand the latest trends and tools in foreign exchange management. Prepare examples of how you've navigated FX challenges before, and be ready to share your insights on effective strategies.

Highlight Relevant Experience

If you have experience in the Insurance or Financial Services sector, make sure to highlight it! Tailor your responses to showcase how your background aligns with the needs of the role. Specific examples will help you stand out as a strong candidate.

Embrace the Hybrid Work Model

With a hybrid work model in play, be prepared to discuss how you manage your time and productivity when working from home. Share any tools or techniques you use to stay organised and ensure effective communication with your team, as this will demonstrate your adaptability.

Treasury Manager – Cashflow, FX & Funding Strategy (Hybrid) in City of London
Pavilion Recruitment Solutions
Location: City of London
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  • Treasury Manager – Cashflow, FX & Funding Strategy (Hybrid) in City of London

    City of London
    Full-Time
    48000 - 72000 £ / year (est.)
  • P

    Pavilion Recruitment Solutions

    50-100
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