Senior Manager
Unspecified

N/A

Head of Treasury

Unspecified
Blackburn

10 months ago

Apply for me

Oops! You need to have an account to use this feature

Sign up to access features including all filters, job matching, dashboard, apply service, etc.

in2 is seeking an experienced Head of Cash Operations to join the Group Treasury function of a shared service centre in Blackburn.

Reporting to the Group Treasurer, you will play a key role in managing this transition, implementing notional pooling and zero balancing sweeps across Europe, and overseeing day-to-day treasury operations.

If you’re a seasoned treasury professional looking to lead a dynamic, fast-paced treasury team, we’d love to hear from you!

  • Lead & develop the Group Treasury Operations team, driving performance and ensuring day-to-day operations run smoothly.
  • Manage and enhance cash operations, including the transition to a unified banking platform.
  • Support treasury-driven special projects, including TMS (SAP) implementation, cash forecasting, and liquidity management.
  • Ensure treasury operations are efficient, well-documented, and compliant with company policies.
  • Oversee global multi-currency cash management, short-term liquidity positions, and banking structures.
  • Develop and implement operational bank structures across Europe to support business activity.
  • Consolidate and improve the accuracy of the Group’s cash flow forecasts, identifying key movements and drawdown requirements.
  • Analyse and report on foreign exchange, interest rate, and liquidity risks, driving continuous improvement.
  • Negotiate International Swap and Derivative Association (ISDA) documentation with FX and IR counterparties.
  • Collaborate with finance and procurement teams to enhance foreign currency forecasting and FX exposure analysis.
  • Manage the Group’s global guarantees and letter of credit facilities.
  • 5+ years of experience in treasury or banking.
  • Qualified accountant (ACT, ACCA, CIMA, or equivalent).
  • Strong understanding of treasury markets, transactional banking, cash management, liquidity, and FX risk management.
  • Knowledge of UK & European banking regulations.
  • Familiarity with TMS systems and SAP (desirable).
Salary
$
83432
-
$
103360
Responsibility
Scope
-
Workplace
-
Functions
Level
N-2
Travel
0%
Date Added
02-15-2025

Sign up for our 14 day free trial to access features including all filters, job matching, dashboard, apply service, etc.

Start free trial now