We are hiring a Group Treasury Manager for a dynamic and globally recognized company known for its innovation and excellence.
This is an exciting opportunity to join a forward-thinking organization that values expertise, collaboration, and continuous improvement.
The role offers high visibility, and requires strong analytical and technical skills to drive impactful financial decisions.
Key responsibilities:
Oversee Treasury governance, ensuring policies and controls align with best practices
Develop and refine cash forecasting models to enhance accuracy and efficiency
Implement risk management frameworks for financial, credit, and operational exposures
Maintain financial records and compliance for FX hedges, derivatives, and intercompany transactions
Collaborate with Auditors, Accountants, and business units to optimize Treasury processes
Your profile:
Degree in Finance, Accounting, or Banking - Treasury certifications are a plus
Several years of experience in Corporate Treasury within an international firm
Expertise in risk management and cashflow forecasting
Strong proficiency in Treasury Management Systems and Excel
Proactive, detail-oriented, and adaptable in a global, multi-cultural environment
If you are looking for a strategic Treasury role with international impact, apply now!
EMEA Recruitment is committed to promoting Equity, Diversity and Inclusion in the workplace. We act as a neutral third party in the recruitment process, basing our candidate searches on skills and experience. We do not discriminate on the basis of age, gender, sex, relationship status, disability, race, religion/beliefs, or sexual orientation.
You can also use your social account to sign in. First you need to:
Accept Terms & Conditions And Privacy Policy