At FK International, we are working closely with an international engineering/construction firm, currently hiring a Treasury Manager to lead Cash Management & Funding activities for the group.With a significant growth journey underway across Europe, this is a high-impact role at the heart of a dynamic finance function.
You’ll lead all aspects of cashflow, banking, and funding, ensuring robust reporting, forecasting, and stakeholder engagement across the business. Responsibilities will include:
Deliver accurate cashflow reporting, forecasting, and variance analysis
Set up and manage bank accounts across new international jurisdictions
Partner with funding agents and banks on reporting and compliance
Optimise cash usage and identify opportunities for improved returns
Support scenario analysis and strategic funding decisions
Drive process improvement, documentation, and automation
Requirements for this Role
Qualified accountant (ACA / ACCA / CIMA) with 3+ years’ relevant treasury/cash management experience
Strong financial modelling and cashflow forecasting skills
Excellent communicator with cross-functional collaboration ability
Thrives in a fast-paced, high-growth environment
About Our Client
A leading business delivering large-scale, critical infrastructure across Europe
Remuneration
Attractive & Package
Your application will be directed to Ger Buckley.
Not interested in this role, but know someone who might be? Refer a friend to FK International to receive a €500 voucher should we successfully place your friend. Please refer to our website for applicable Terms & Conditions.
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