Strata is seeking a Group Treasury & Cashflow Manager to strengthen cashflow visibility, liquidity planning and funding across seven operating companies. The role reports to the Group CFO and collaborates with Group COO, banks, and investors, building a scalable treasury function from day one.
The successful candidate will lead forecasting, liquidity management, FX risk, and governance, ensuring cash discipline supports growth and ambitious client projects across Strata's global projects.
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Group Treasury & Cashflow Leader in City of London employer: Strata
Strata Group is an exceptional employer that prioritises a people-first culture, offering a dynamic hybrid working environment in London and Brackley. With a strong commitment to employee growth, competitive benefits including private health insurance and generous leave, and a focus on collaboration and diversity, Strata empowers its team to thrive while delivering impactful brand experiences. Join us to be part of a collective that values innovation and sustainability, ensuring every team member feels valued and supported.