Treasury Finance Manager

Empirical Search London, England Posted Mar 18, 2026

Full Time
Onsite

Job description

Role Description

  • Improve treasury financial management, interest processes and transfer pricing frameworks.
  • Analyse FX exposures and help design practical hedging and currency management solutions.
  • Support automation of intercompany settlement, cash management and loan documentation.
  • Act as subject matter expert for treasury workflows within our TMS.
  • Work with auditors and internal stakeholders to ensure strong controls and clear reporting.
  • Drive enhancements to processes, documentation and system workflows.
  • Role Requirements

  • Chartered accountant with strong financial accounting experience.
  • Confidence working with data, reporting tools, and Excel.
  • Clear communicator with great written English.
  • Organised, analytical, curious and comfortable with both BAU and project work.
  • Knowledge of treasury, banking, or intercompany processes.
  • Experience running projects or improving systems.
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