Location
England, United Kingdom
Salary
Not specified
Type
fulltime
Posted
Today
via linkedin
Job Description
The new Senior Treasury Operations Manager will run the end-to-end operational management of the firm’s treasury activities, ensuring effective liquidity management, funding execution, and cash flow optimisation. This is a remote-first role with 1-2 days per month required in the office.
Key Responsibilities
- Support Capital Markets activity (e.g. refinancing, new facility structuring) from an operational perspective
- Oversee daily liquidity position, ensuring sufficient funding to meet operational and lending requirements
- Manage short- and medium-term cash flow forecasting with appropriate stress scenarios
- Design and maintain a strong treasury control framework
- Lead continuous improvement of treasury operations to support business growth
- Lead, coach, and develop the Treasury Operations team
- Operate comfortably with a hands on approach in a fast paced and busy environment
Essential Skills
- Experience supporting capital markets transactions and complex funding structures
- Extensive treasury operations experience within specialist lending or non-bank financial services
- Strong knowledge of liquidity management, funding structures, and treasury controls
- Experience managing warehouse lines, securitisation structures, and lender reporting
- Proven ability to operate within a regulated, governance-led environment
- Experience leading teams and delivering in a complex, fast-paced environment
- Strong analytical capability and ability to produce high-quality MI and insight
- Effective stakeholder management across senior internal and external stakeholders
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