Tillo Inc in the UK is seeking an experienced Treasury Manager to own global cash operations, liquidity forecasting and corporate financing in a high‑volume fintech environment with multi‑currency flows. This role blends hands-on treasury leadership with strategic oversight as the company scales internationally.
You will establish daily cash positioning, build rolling 13‑week and 12‑month forecasts, and drive robust treasury controls while coordinating with the CFO and Head of FP&A.
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Hybrid Treasury Manager: Global Cash & FX in London employer: Tillo Inc
Tillo is an exceptional employer that fosters a dynamic and innovative work culture, perfect for those looking to thrive in the fast-paced fintech sector. With a strong emphasis on employee growth, we offer comprehensive training and development opportunities, alongside a flexible hybrid work setup in vibrant locations like Hove and London. Join us to be part of a team that values collaboration, creativity, and the pursuit of excellence in global cash management.