Hybrid Treasury Manager: Global Cash & Liquidity Leader in London

Hybrid Treasury Manager: Global Cash & Liquidity Leader in London

London Full-Time No working from home possible
Tillo

As Tillo continues to scale globally, we seek an analytically minded Treasury Manager to own cash operations, capital structures and liquidity forecasting. This role requires handling complex client floats, designing robust controls, and aligning treasury activity with corporate goals.

You will manage rolling forecasts, oversee banking relationships, and implement strategies to optimize working capital while mitigating financial risk across multiple currencies.

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Hybrid Treasury Manager: Global Cash & Liquidity Leader in London 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