Treasury Manager

Brewer Morris are currently recruiting for a Treasury Manager position for a well established global Insurance firm. This position reports to the Head of Treasury and will be responsible for the cash and FX management. The role would ideally suit a Senior Treasury Analyst who is looking for their first Manager position.

Key Responsibilities:

  • Cash and FX management, including cashflow forecasting
  • Execute FX spot and forward hedge transactions
  • Cash manage client and corporate accounts
  • Mentor the Treasury Analyst
  • Ad hoc projects

The Successful Candidate:

  • Ideally 5 years' experience in a multinational treasury team
  • Previous exposure to cash, liquidity and FX
  • Currently studying or qualified ACT
  • Excellent communication and written skills
  • Proactive attitude

For more information please do not hesitate to get in touch: emilyhearne@brewermorris.com

Please note our advertisements use PQE/salary levels purely as a guide. However we are happy to consider applications from all candidates who are able to demonstrate the skills necessary to fulfil the role.

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