Full-time Posted June 17, 2026
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Job Description

Group Treasury Manager (Liquidity & Treasury Operations)

An exciting opportunity to join a leading global maritime organisation in a high visibility treasury role supporting liquidity, funding, and financial risk management across international operations.

Key Responsibilities
  • Manage group liquidity, including cash positioning, forecasting, and working capital optimisation
  • Partner with global business units to anticipate funding requirements and ensure efficient cash deployment
  • Oversee loan portfolio, including debt tracking and interest rate exposure management
  • Support and manage banking relationships, including financing arrangements and intercompany funding
  • Execute and monitor FX hedging strategies across multiple entities
  • Analyse market trends and economic indicators to assess impact on treasury strategy
  • Support investment evaluations and financial analysis where required
  • Handle bank a...

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