Treasury Operations Manager

4777897
  • Job type

    Contract
  • Location

    London
  • Working Pattern

    Full-time
  • Specialism

    Tax And Treasury
  • Industry

    Technology & Internet Services
  • Pay

    £100,000 - £120,000

Greenfield Treasury Role - 9-Month Contract

Head of Treasury Operations
Fast‑Growing Tech Scale‑Up

Key Responsibilities

Treasury Operations Leadership
  • Establish and lead the Group Treasury Operations function, building clear processes, strong controls, and efficient ways of working.
  • Provide day‑to‑day leadership, coaching, and development to the Treasury Analyst.
ERP Implementation
  • Act as the Treasury lead for the ERP implementation, driving process design, documentation, knowledge transfer, and the embedding of the future‑state Treasury operating model.
  • Payments, Banking & Controls
  • Design and oversee Group‑wide payment initiation processes across banking portals, ensuring robust reviews, approvals, and counterparty setup.
  • Own user access management for all e‑banking platforms, including onboarding, modifications, audit reporting, and periodic control reviews.
  • Maintain and update all bank mandates to ensure accuracy and compliance.
Bank Account & Liquidity Management
  • Lead the full lifecycle of bank account management, including openings, closures, connectivity, and maintenance of the central bank account database.
  • Manage Group liquidity across multiple currencies, ensuring sufficient cash resources, efficient working capital processes, and accurate cash flow forecasting.
  • Ensure appropriate funding sources are in place for all group entities.
Banking Administration & Stakeholder Management
  • Drive execution of KYC, static data management, and other banking administrative activities, supporting internal teams in preparing high‑quality documentation.
  • Act as the primary point of contact with banking partners.
Debt, Guarantees & Governance
  • Lead end‑to‑end management of bank guarantees, including new issuances, renewals, and fee reviews.
  • Own the management and reporting of all debt facilities—including bank loans, RCFs, and intercompany borrowing—while maintaining strong communication with lenders.
  • Maintain and regularly update Treasury policies and procedures to uphold strong governance, compliance, and risk management standards

If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.

If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career.

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Talk to Marios Georgiou, the specialist consultant managing this position

Located in London-City, 5th Floor, 107 Cheapside, Telephone 02034650138
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