Save Job Back to Search Job Description Summary Similar JobsRare chance to join a brand new UK/US/EU FunctionOpportunity to work for one of worlds the largest manufacturersAbout Our ClientA globally recognised industrial leader in the manufacturing space combining decades of expertise with a clear ambition to shape a more sustainable, forward-looking futureA truly international business, bringing together a diverse workforce and serving customers across major global markets, with products that play a vital role in everyday lifeA culture that values fresh thinking and collaboration where people are empowered to challenge the status quo and contribute to meaningful, visible changeSignificant investment in building a high-impact UK, US & EU Treasury hub, offering the chance to be part of a function being shaped from the ground up within a wider global networkA rare opportunity to join during a period of momentum and transformation, where you can influence how the function evolves, gain broad exposure, and make a genuine mark on an international businessJob DescriptionLead the identification and monitoring of financial risks across FX, interest rates, commodities, and counterparty exposure, supporting the execution of hedging strategies to protect the businessDeliver high-quality analysis on commodity exposures, including scenario modelling and sensitivity analysis, with clear insight provided to senior stakeholders on potential impacts to cashflow and performanceStay close to market movements, proactively assessing trends and translating them into actionable recommendations for the wider businessSupport regional funding activities, including bank facilities, trade finance, and liquidity solutions, while contributing to capital structure planningBuild and manage key banking relationships, supporting negotiations on terms, pricing, and access to fundingOversee treasury controls across the function, ensuring strong governance and alignment with internal policiesMonitor and review intercompany financing arrangements, ensuring compliance while identifying opportunities for optimisationProduce clear, value-add reporting and dashboards, giving senior leadership visibility over risk, funding, and treasury performancePlay an active role in improving treasury processes, systems, and controls as the function continues to evolveThe Successful ApplicantExperience in corporate finance, treasury, or structured financing, with exposure to funding, capital markets, or financial instrumentsStrong analytical and modelling skills, with a good understanding of FX risk, interest rates, and commodity exposuresKnowledge of hedging strategies and financial instruments used to manage market and counterparty riskGood awareness of financial regulations, governance, and control frameworksAdvanced Excel skills and familiarity with ERP systems (e.g. SAP) and treasury toolsConfident communicator, able to engage with banks, external advisors, and internal stakeholders across regionsExperience working in an international, cross-border environment is advantageousDetail-focused with a proactive approach to identifying and managing financial risks and opportunitiesWhat's on Offer£60,000-£76,000 base salary + 10% discretionary bonusHybrid working (3 days per week in London)Permanent role with strong development opportunitiesSupportive, collaborative cultureOpportunity to join during a period of growth and play a visible role in shaping the Treasury functionContactRebecca ScuffamQuote job refJN-022026-6956430Phone number+44 207 269 2171Job summaryJob functionTreasurySubsectorTreasurySectorIndustrial / ManufacturingLocationLondonContract typePermanentConsultant nameRebecca ScuffamConsultant phone+44 207 269 2171Job referenceJN-022026-6956430