Global Treasury Manager: Cash Flow, FX & Risk in Hove

Global Treasury Manager: Cash Flow, FX & Risk in Hove

Hove Full-Time 70000 - 90000 £ / year (est.) No working from home possible
Tillo

At a Glance

  • Tasks: Manage global cash operations and liquidity forecasting in a fast-paced fintech environment.
  • Company: Join Tillo, a rapidly scaling fintech company with a dynamic culture.
  • Benefits: Flexible work arrangement, competitive salary, and opportunities for professional growth.
  • Other info: Work in a collaborative team with excellent career advancement potential.
  • Why this job: Be at the forefront of financial innovation and make a significant impact on global operations.
  • Qualifications: Strong analytical skills and experience in treasury management.

The predicted salary is between 70000 - 90000 £ per year.

Tillo is scaling globally and seeks a highly analytical, hands-on Treasury Manager to own global cash operations, liquidity forecasting, and capital structure. You will operate within a high-volume fintech ecosystem with complex client floats and credit mechanics, driving statutory compliance and treasury controls.

Based in Hove or London, 2 days a week in the office, you will build robust cash positioning, manage banking relationships, FX hedging, and partner with the CFO and Head of FP&A.

Global Treasury Manager: Cash Flow, FX & Risk in Hove employer: Tillo

Tillo is an exceptional employer located in the vibrant Greater London area, offering a dynamic work culture that fosters innovation and collaboration. With a strong focus on employee growth, Tillo provides ample opportunities for professional development and advancement within the B2B SaaS sector. The hybrid work policy allows for flexibility, ensuring a healthy work-life balance while driving significant revenue growth in a supportive environment.

Tillo

Contact Details:

Tillo Recruitment Team

We think you need these skills to ace Global Treasury Manager: Cash Flow, FX & Risk in Hove

Analytical Skills
Cash Operations Management
Liquidity Forecasting
Capital Structure Management
Statutory Compliance
Treasury Controls
Banking Relationship Management