Trinity House Group is seeking an Interim Group Treasury Manager to lead cash management, liquidity planning and forecasting across a multi-entity operation. The role is for 6 months and hybrid, based in the Staffordshire area with in-office presence 2β3 days per week.
Key duties include group cash positioning, forecasting across entities, managing a new ABL facility, banking relationships and cross-functional collaboration to sharpen forecast accuracy.
#J-18808-Ljbffr
Interim Group Treasury Lead β Cash Forecasting & ABL in Stafford employer: Trinity House Group
Trinity House Group offers an exceptional work environment for the Strategic Finance Director role, situated in the vibrant city of Leeds. With a strong focus on employee development and a collaborative culture, you will have the opportunity to lead transformative initiatives while working closely with senior leadership. The company values innovation and provides unique advantages such as exposure to private equity dynamics and a chance to shape the future of a growing manufacturing business.