Position Overview
You'll be joining a leading global professional services firm with a strong international footprint and an established reputation for excellence. From its Glasgow hub, the firm supports complex operations across multiple jurisdictions and currencies, combining scale with a collaborative and inclusive culture. Finance and Treasury play a strategic role within the business, offering genuine exposure to senior stakeholders and global decision making. In this newly created Group Treasury Operations and Liquidity Manager position, you will take ownership of day to day treasury operations and group liquidity management. Based in Manchester and working as part of a global treasury function, you'll oversee multi currency cashflow forecasting, support in house banking and intercompany funding activities, and help drive consistency and control across treasury processes. You'll work closely with colleagues in finance, tax, legal cashiers and procurement worldwide, while also managing and developi...