This is not a standard Group Treasury Manager role .
It’s an opportunity to join a fast‑growing, PE‑backed group at a point of significant change – where Treasury is central to cash, funding, risk and strategic decision‑making.
You’ll be joining a function that is evolving quickly and needs someone who wants to actively shape it , not just maintain it.
Why this role stands out
- Treasury is high‑profile and influential
- The business is growing, changing and investing
- There is genuine scope to improve, modernise and elevate the function
- You’ll work directly with a highly regarded Group Treasurer
- Your ideas will be heard - and acted on
The role
You’ll take ownership across:
- Group cash forecasting and liquidity management
- Banking operations and debt facilities
- Treasury systems, reporting and controls