Contract: Fixed Term (12 months)
Location: Welwyn Garden City - Hybrid
About the role
We are recruiting for a Treasury Finance Manager to take responsibility for the day‑to‑day operation of the treasury function while supporting the wider finance team.
This role sits within a fast‑paced, consumer‑facing business operating at scale, offering both the challenge and opportunity of working in a highly dynamic environment. You will oversee liquidity, cash flow forecasting and treasury controls, with exposure to both BAU activity and strategic projects.
Key responsibilities
- Being a bridge between core finance and the treasury function
- Produce and maintain weekly cash flow forecasts aligned to receivables, payables and commercial inputs
- Deliver weekly, monthly and quarterly cash flow variance analysis for senior stakeholders
- Manage covenant monitoring and reporting
- Lead the annual going concern review in collaboration with Financial Reporting
- Develop treasury reporting and enhance operational controls
- Support treasury and finance leadership with strategic initiatives (e.g. bank migration, working capital optimisation, lender relationships)
- Act as the primary treasury point of contact for the wider finance function
- Contribute treasury assumptions and outputs into the 5‑year plan
- Partner with Financial Reporting & Controls to ensure robust and accurate cash flow reporting and forecasting
About you
Essential
- Exposure to treasury operations and/or treasury reporting
- Qualified or studying towards a professional qualification (ACT, ACA, ACCA or CIMA)
- Strong Excel capability, including spreadsheet build and analytical reporting
- Strong analytical and problem‑solving skills, with the ability to leverage data and systems
- Comfortable balancing day‑to‑day responsibilities with longer‑term project work
- Confident communicator, able to engage senior stakeholders and cross‑functional teams