Treasury Manager

Mclaren

On-site
Cash management expertise
Foreign exchange risk management
Funding strategy delivery
Mclaren is seeking a Treasury Manager to support the Group Treasurer in managing cash, foreign exchange risks, and funding, while ensuring compliance and minimizing risks. This on-site role emphasizes effective cash management and operational control within the organization

Job Summary

  • This role reports directly to the Group Treasurer to support efficient cash management and funding strategies.
  • The position is responsible for managing foreign exchange risks while maintaining an effective control environment.
  • Success in this role requires minimizing financial and operational risks for the business.

Matching Summary

Match Score: 85

Mclaren is seeking a Treasury Manager to support the Group Treasurer in managing cash, foreign exchange risks, and funding, while ensuring compliance and minimizing risks. This on-site role emphasizes effective cash management and operational control within the organization.

Skills & Requirements

Must-have

  • cash management expertise
  • foreign exchange risk management
  • funding strategy delivery
  • financial control environment

Nice-to-have

  • business partnership skills
  • risk minimization focus
  • operational efficiency mindset

Key Requirements

  • Reporting to Group Treasurer
  • Experience in treasury functions

Work Rights

Not specified

Tailored Resume

Cover Letter