We have a fantastic opportunity for a Treasury Manager to work with an organisation based in the South East. The role is responsible for the management of the EMEA group treasury activities. You will need to have experience with the maintenance of the cash flow model to ensure cash requirements are met and the identification and management of foreign exchange balance sheet currency exposures. Ideally you will be a qualified Accountant either in ACCA, CIMA or ICAEW and with previous experience of Treasury related work. Good knowledge of SAP is preferable and prior experience of team management skills. French or German language skills would also be desirable. Please email your CV to Fiyin.firstname.lastname@example.org for more info.