Treasury Manager
MulberryRemotely
excelforecastingtreasurycash flowliquidityaccaacaamct
Job Description
📋 Description
- Role managing global cash planning, reporting, working capital & planning
- Oversee liquidity management, FX hedging & banking operations
- 12-month maternity cover; hybrid work: 3 days in office, up to 2 days remote
🎯 Requirements
- Professional Finance Qualification (ACA/ACCA or AMCT)
- Previous Treasury experience desirable
- Proactive, analytical, able to deliver projects
- Advanced Microsoft Excel skills
- Ability to partner with stakeholders across departments
🎁 Benefits
- Hybrid working arrangement: 3 days in the office, up to 2 days from home