Global Treasury Director: Liquidity & Cash Strategy in London

Global Treasury Director: Liquidity & Cash Strategy in London

London Full-Time No working from home possible
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Teciem seeks a Financial Controller to lead cash and treasury functions across the group, reporting to the CFO. You will manage daily cash, liquidity, intercompany flows, and short-term forecasting, while maintaining strong governance and controls.

You will collaborate with FP&A, Accounting, and ERP teams to optimize processes, oversee banking platforms, and support audits and treasury policy development in a PE-backed, multinational environment.

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Contact Details:

TUK TCMI UK Ltd Recruitment Team