As part of the growth of IQEQ, we have an exciting opportunity for a Treasury Manager to join our Group Finance team. This is a new position created as a result of the expansion and the planned implementation of a Treasury Management System for the Group.
The opportunity offers the right individual the chance to join us at the start of a key period in the Group’s Treasury transformation.
You'll assist with daily cash management, debt facilities management and forecasting short to medium term funding requirements.
You will manage foreign currency exposure and foreign currency payments whilst supporting the design, implementation and management of a new Treasury Management System.
With the assistance of the Treasury Administrator you will be responsible for the governance of the Treasury function whilst having an oversight of the Group cash reporting requirements.