About the Position
As the new Treasury Manager, you will play a critical role in managing and optimising the company’s liquidity and cash flow processes. Reporting to the Head of Financial Planning and Analysis, you will be responsible for overseeing cash management, working closely with our financing and corporate finance teams. This position is ideal for a proactive and experienced finance professional looking to take on a high-impact role in a fast-growing company.
Read more about the position below.