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Treasury Manager

London💼 Full-time🗓 2026-06-08 → 2026-09-25

Core

Develop and execute treasury strategies, manage liquidity, oversee cash flow, and lead treasury operations for a fintech lending company.

Role type

Treasury Manager

Builds

Treasury strategies, cash management processes, investment portfolios, and risk mitigation frameworks

Domain

Fintech / Consumer Lending / Financial Services

Deliverable

production ML models | product features | dashboards & analysis | client delivery | infrastructure

Required skills

Strategic financial planning, liquidity management, capital allocation, risk mitigation, cash flow forecasting, treasury operations, portfolio management, regulatory compliance, team leadership

Preferred skills

ACT, CFA, or ACCA qualifications, experience in consumer lending or asset-backed treasury, expertise in treasury systems implementation

Technologies

Treasury management systems, data analytics tools

Responsibilities

Collaborate with senior management on treasury strategy, oversee cash management and foreign exchange activities, manage treasury asset portfolios, implement risk management practices, build stakeholder relationships with regulators and investors, lead and develop the treasury team

Seniority

Senior, hands-on IC with team leadership

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