Reporting toGroup Financial Controller / Director of Finance (or CFO, depending on scale)Role PurposeThe Treasury Manager will design, implement, and run a robust cash flowreporting and forecasting capability for a regulated Platform-as-a-Service (PaaS)business.The role's primary objective is to ensure clear, accurate, and forward-lookingvisibility of cash, enabling strong liquidity management, confident decision-making,and effective engagement with senior
Reporting toGroup Financial Controller / Director of Finance (or CFO, depending on scale)Role PurposeThe Treasury Manager will design, implement, and run a robust cash flowreporting and forecasting capability for a regulated Platform-as-a-Service (PaaS)business.The role's primary objective is to ensure clear, accurate, and forward-lookingvisibility of cash, enabling strong liquidity management, confident decision-making,and effective engagement with senior
Key Accountabilities: - Execute operational risk assessments to a high standard and on a timely basis and provide guidance and input to other team members - Support loss event processing, identification of root causes, remediation, tracking, etc. - Proactively identify business and functions' operational risks - Develop strong product, business and front to back process knowledge to allow risk identification ahead of time - Develop real time knowledge of a
Key Accountabilities: - Execute operational risk assessments to a high standard and on a timely basis and provide guidance and input to other team members - Support loss event processing, identification of root causes, remediation, tracking, etc. - Proactively identify business and functions' operational risks - Develop strong product, business and front to back process knowledge to allow risk identification ahead of time - Develop real time knowledge of a
Job Title - Treasury Manager - Cashflow Reporting & AnalysisLocation - Hybrid Reporting to Group Financial Controller / Director of Finance (or CFO, depending on scale)Role PurposeThe Treasury Manager will design, implement, and run a robust cashflow reporting and forecasting capability for a regulated Platform-as-a-Service (PaaS) business.The role's primary objective is to ensure clear, accurate, and forward-looking visibility of cash, enabling strong li
Job Title - Treasury Manager - Cashflow Reporting & AnalysisLocation - Hybrid Reporting to Group Financial Controller / Director of Finance (or CFO, depending on scale)Role PurposeThe Treasury Manager will design, implement, and run a robust cashflow reporting and forecasting capability for a regulated Platform-as-a-Service (PaaS) business.The role's primary objective is to ensure clear, accurate, and forward-looking visibility of cash, enabling strong li