Tillo is scaling its global footprint and seeks an analytical Treasury Manager to own cash operations, capital structures and liquidity forecasting. You will manage daily cash across entities, design robust controls, and lead FX hedging strategies to protect margins as international volumes grow.
Based in our Hove or London office (hybrid, 2 days on-site), you will interact with the CFO and Head of FP&A, build critical treasury models, and partner with top-tier banking providers to support
#J-18808-Ljbffr
Treasury Manager: Global Cash & FX Leader (Hybrid UK) in Hove employer: Tillo
At Tillo, we pride ourselves on being an exceptional employer that fosters a collaborative and innovative work culture. Our Hove office offers a supportive environment where employees are empowered with flexibility and autonomy, alongside generous benefits such as enhanced annual leave, private medical care, and a commitment to personal growth through learning and development opportunities. Join us in shaping the future of rewards and incentives while enjoying a meaningful career that values your contributions and encourages curiosity.