Group Treasury operates a coordinated function across Grosvenor, supporting companies in the UK, Americas and legacy assets in Asia and Europe, as well as managing treasury activity for the Group Team (including Grosvenor Diversified Property Investments) and providing ad hoc treasury advice to the Family Office and Grosvenor Food & AgTech.
Reporting to the Assistant Treasurer, the Treasury Manager is responsible for management, oversight and coordination of cash management operations, ensuring efficient and robustly controlled day-to-day cash positioning, forecasting and settlement processes. To support the delivery and continuity of daily operations, the Treasury Manager takes a lead in daily operational matters, liquidity and counterparty risk management, and ensuring Group Treasury provides a high-quality service to the business.
The Treasury Manager also plays a crucial role in payment checking and approval processes, reporting, compliance, bank account and systems admin, and identification of opportunities for process improvements and automation to enhance operational efficiency, reduce errors, and minimize risks.
Key Responsibilities
Key Requirements
We know flexibility is important and take a hybrid approach to working, please contact us for further details.
We want you to have every opportunity to show us your strengths. There are adjustments available for our process, please contact us on grosvenor.recruitment@grosvenor.com to discuss.
Grosvenor is proud to be a Disability Confident Committed employer. If you would like to speak with us for more detail, please contact grosvenor.recruitment@grosvenor.com.
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