Job description
Job Advert - Senior Treasury Manager - Cash & Risk (Contract)
📍 Location: London (Hybrid - 1 day per week in office)
 📆 Contract: 12 months
 💷 Pay: £550-£650 per day (Inside IR35)
 🕒 Start: ASAP
We're recruiting on behalf of a global organisation for a Senior Treasury Manager - Cash & Risk to join their Treasury function on a 12-month contract. This high-impact role plays a key part in supporting the Corporate Treasurer and managing group-wide liquidity, financial risk, and investment strategy.
Key responsibilities include:
- Leading the management of cash and foreign currency liquidity across global operations 
- Optimising investment income and managing trapped cash 
- Developing banking relationships and supporting treasury policy 
- Providing strategic input around FX, interest rate, and counterparty risk 
- Supporting treasury systems and continuous improvement 
- Deputising for the Corporate Treasurer when needed 
What we're looking for:
- Extensive treasury experience in a complex, international organisation 
- Skilled in managing FX exposure, liquidity planning, and investments 
- Strong stakeholder engagement across senior global finance teams 
- Familiarity with ISDA agreements, treasury platforms, and ERP systems (SAP desirable) 
- AMCT qualified or equivalent (preferred) 
This is a great opportunity to take on a pivotal treasury role with real scope for influence in a globally recognised organisation.
🔎 Apply now or contact Rinisha Bhagat at / 07418 626 800 for more information.
Inventum Group is acting as an Employment Agency in relation to this vacancy.

