At a Glance
- Tasks: Manage cashflow forecasting and liquidity planning while engaging with senior stakeholders.
- Company: Join a forward-thinking organisation with a strong reputation in finance.
- Benefits: Enjoy a competitive salary, hybrid working, and a fantastic benefits package.
- Other info: Great opportunities for development and progression in a dynamic environment.
- Why this job: Take ownership of financial strategy and make a real impact on the business.
- Qualifications: Qualified in ACCA/CIMA or experienced in treasury and finance roles.
The predicted salary is between 60000 - 75000 £ per year.
Looking for a role where you can take ownership of cash, liquidity and financial strategy at a group level? Sharp Consultancy are supporting a highly reputable, forward‑thinking organisation in the search for a Treasury Manager to join their central finance function. This is a key role within the business, offering real visibility across senior leadership and the opportunity to directly influence financial stability and planning. This is a hands‑on yet strategic position, ideal for someone who enjoys combining technical treasury work with business partnering and insight.
The Role:
- Manage group cashflow forecasting and short-term liquidity planning
- Oversee banking relationships and day‑to‑day treasury operations
- Monitor and optimise working capital across the business
- Produce scenario analysis to support strategic decision‑making
- Work closely with senior stakeholders to support financial planning and control
- Support financial reporting and audit requirements relating to cash and treasury
About You:
- Qualified (ACCA/CIMA) or qualified by experience
- Background in treasury, finance, or broader accounting roles with exposure to cash management
- Strong communication skills with the ability to engage senior stakeholders
- Commercially minded with a proactive, problem‑solving approach
- Comfortable working in a fast‑paced, evolving environment
- Highly organised with strong attention to detail
What’s on Offer:
- Competitive salary and bonus scheme
- Hybrid working
- Strong benefits package and employee perks
- Genuine development and progression opportunities
If you’re ready to step into a role with real responsibility, visibility, and impact — this could be the next step for you. Apply now or contact us for a confidential discussion. Referrals always welcome.
Strategic Treasury Manager | Cashflow, Liquidity & Strategy in Doncaster employer: Sharp Consultancy
Join a forward-thinking organisation in Doncaster that values ownership and strategic influence in financial management. With a competitive salary, hybrid working options, and a strong focus on employee development, this role offers a unique opportunity to engage with senior leadership while making a tangible impact on the company's financial stability. Experience a supportive work culture that encourages proactive problem-solving and provides genuine progression opportunities.
StudySmarter Expert Advice🤫
We think this is how you could land Strategic Treasury Manager | Cashflow, Liquidity & Strategy in Doncaster
✨Tip Number 1
Network like a pro! Reach out to your connections in the finance world, especially those in treasury roles. A friendly chat can lead to insider info about job openings or even a referral.
✨Tip Number 2
Prepare for interviews by brushing up on your technical knowledge and understanding of cashflow management. Be ready to discuss how you've tackled challenges in previous roles and how you can bring that experience to the table.
✨Tip Number 3
Showcase your communication skills! When engaging with senior stakeholders, practice articulating your ideas clearly and confidently. This will demonstrate your ability to partner effectively within the business.
✨Tip Number 4
Don’t forget to apply through our website! It’s the best way to ensure your application gets noticed. Plus, we love seeing candidates who are proactive about their job search.
We think you need these skills to ace Strategic Treasury Manager | Cashflow, Liquidity & Strategy in Doncaster
Some tips for your application 🫡
Tailor Your CV:Make sure your CV reflects the skills and experiences that match the job description. Highlight your background in treasury, finance, or accounting, and don’t forget to showcase your communication skills and problem-solving approach!
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 Strategic Treasury Manager role. Mention your experience with cash management and how you can contribute to financial stability and planning.
Showcase Your Strategic Mindset:In your application, emphasise your ability to combine technical treasury work with strategic insight. Share examples of how you've influenced financial decisions in previous roles, especially when working with senior stakeholders.
Apply Through Our Website:We encourage you to apply directly through our website for a smoother process. It’s the best way for us to receive your application and get you one step closer to joining our team!
How to prepare for a job interview at Sharp Consultancy
✨Know Your Numbers
As a Strategic Treasury Manager, you'll need to be on top of cashflow forecasting and liquidity planning. Brush up on your financial metrics and be ready to discuss how you've managed these in previous roles. Bring examples of your scenario analysis to showcase your strategic thinking.
✨Engage with Stakeholders
Strong communication skills are key for this role. Prepare to talk about how you've successfully engaged with senior stakeholders in the past. Think of specific instances where your insights influenced financial planning or decision-making.
✨Showcase Your Problem-Solving Skills
This position requires a proactive approach to challenges. Be ready to share examples of how you've tackled complex treasury issues or optimised working capital. Highlight your ability to think on your feet in fast-paced environments.
✨Demonstrate Attention to Detail
In treasury management, details matter. Prepare to discuss how you ensure accuracy in financial reporting and audit requirements. Bring along any relevant documentation that illustrates your meticulous approach to managing cash and treasury operations.