Treasury Manager

IPS Finance

An opportunity for an experienced Treasury Manager to support a large-scale international project environment with responsibility for cash management, banking operations, funding coordination, covenant compliance, FX exposure, and treasury reporting.

Key Responsibilities
  • Manage daily treasury operations, bank accounts, payments, liquidity, and cash positioning
  • Maintain short and long-term cash flow forecasts across multiple entities and currencies
  • Coordinate debt drawdowns, equity funding requests, and project-related funding activities
  • Monitor financial covenants, compliance requirements, and reporting deadlines
  • Support banking relationships, guarantees, letters of credit, and treasury controls
  • Assist with FX risk management and hedging activities
  • Prepare treasury reporting for senior finance leadership and stakeholders
  • Work closely with international finance teams on funding, forecasting, and liquidity management
  • Support audit, governance, and treasury process improvement activities
Requirements
  • Treasury experience within project finance, infrastructure, energy, or other capital-intensive sectors
  • Strong understanding of cash management, banking, debt facilities, and covenant compliance
  • Experience managing multi-currency cash flow forecasting and liquidity
  • Knowledge of FX risk management and treasury controls
  • Advanced Excel skills; treasury systems experience advantageous
  • ACT, ACA, ACCA, or similar qualification preferred
  • Strong attention to detail with the ability to operate in a fast-paced, high-volume project environment
Skills
  • Strong analytical and financial modelling capability
  • Excellent organisational and stakeholder management skills
  • Ability to manage competing priorities and strict deadlines
  • High level of accuracy, accountability, and commercial awareness
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