Senior Manager, Treasury (Global Coverage)
Senior Manager, Treasury (Global Coverage)
Charterhouse Partnership- Posted a day ago
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Job Description
We are seeking a commercially driven treasury talent to oversee the Group's treasury and cash management functions, with strong FP&A capabilities to support financial planning, liquidity optimization and strategic business decisions.
Key Responsibilities:
- Lead Group-wide treasury, cash flow management, liquidity planning strategies.
- Drive cash flow forecasting, working capital optimization and cash management initiatives.
- Oversee budgeting, financial planning, forecasting and variance analysis.
- Provide financial insights and scenario analysis to support strategic and operational decisions.
- Manage banking relationships, financing arrangements and foreign exchange exposure.
- Partner with senior management and business leaders to improve financial performance and optimize capital allocation.
Requirements:
- Extensive experience in treasury, cash management and FP&A within a complex, multinational environment.
- Strong expertise in cash flow forecasting, financial modelling, budgeting and financial analysis.
- Proven ability with strategic financial planning.
- Strong commercial acumen, analytical skills and stakeholder management capabilities.
Please contact Angeline Wu at [Confidential Information] for a confidential discussion
EA License no: 16S8066 | Reg no.: R1438557
Only successful candidates will be notified.



