At a Glance
- Tasks: Lead treasury operations and drive continuous improvement in a dynamic environment.
- Company: Join SC Johnson, a family company with over 130 years of purpose-driven success.
- Benefits: Enjoy remote work options, competitive salary, and opportunities for professional growth.
- Other info: Collaborate with diverse teams and build relationships across the EMEA region.
- Why this job: Make a real impact by optimising cash management and enhancing treasury solutions.
- Qualifications: Experience in global treasury models and proven leadership skills required.
The predicted salary is between 60000 - 80000 Β£ per year.
SC Johnson is a fifth-generation family company built on the spirit of our people. We have been leading with purpose for over 130 years, building iconic brands and operating globally.
This is a contract role with permanent status; remote work is available one day per week for eligible employees.
Responsibilities- Leadership: contribute as a member of the EMEA SSC Leadership Team; drive talent development, succession planning, knowledge sharing, and continuous improvement; champion standardization and operational excellence while modelling SCJ leadership behaviours.
- Treasury Operations: oversee EMEA cash management, liquidity planning, cash positioning, payments, bank account administration; manage in-house banking activities including cash pooling, intercompany funding, settlements, and controls; lead cash forecasting to improve liquidity visibility and support funding decisions; optimize surplus cash in line with Corporate Treasury policies; oversee the EMEA corporate credit card program; lead treasury-related projects to enhance effectiveness.
- Banking, Controls: ensure high service standards, issue resolution, and cost oversight; maintain governance, internal controls, regulatory compliance, and audit readiness; oversee banking platforms, payments controls, signatory management, and operational risk across the EMEA region.
- Business Relationship Management: act as primary Treasury liaison between EMEA and Corporate Treasury; partner with Finance, Legal, Supply Chain, Commercial, and other stakeholders to deliver treasury solutions; build cross-functional relationships to drive collaboration and business success.
- Performance: provide insights on cash flow, liquidity, banking performance, and risks; drive process improvements through Lean, automation, analytics, and treasury technology enhancements.
- Experience in a global treasury model with centralized strategy, policy, and governance.
- Proven people leadership experience within a Shared Service Centre, regional finance, or multinational environment; experience managing banking relationships, platforms, and service delivery.
- Experience with SAP and treasury-related financial systems.
- Proficiency in English; additional European languages are an advantage.
- Professional treasury or finance qualification (e.g., ACT, CTP, ACCA, CIMA, CFA, or equivalent) β an advantage.
We think you need these skills to ace Treasury Manager in Surrey
Cash Management
Liquidity Planning
Payments Administration
Bank Account Management
In-House Banking Activities
Cash Forecasting
Corporate Treasury Policies