Global Director of Cash Management
Posted 8 days 1 hour ago by Michael Page (UK)
Permanent
Not Specified
Other
London, United Kingdom
Job Description
- Brand new created exclusive role
- Reporting to the Global Group Treasurer
About Our Client
Our client is a global pharmaceutical business with a vast global footprint. Working in a treasury team based in London, they will be responsible for the Group Treasury activities.
Job Description
The Director of Cash Management will be responsible for:
- All cash and liquidity initiatives across the group.
- Understanding complex legal and tax structures for the Group in relation to cash.
- Covering a span of currencies and locations including Asia, Europe, and South America.
- Being the key point person for all cash-related projects.
- Helping to understand IACs and inter-company funding structures.
- Taking a strategic overview of efficient cash management structures.
- Working with Excel and accounting systems.
The Successful Applicant
The successful Director of Cash Management will:
- Come from a large, international corporate treasury function.
- Enjoy and be very comfortable with project work.
- Be comfortable working in a vast geographical spread.
- Be able to understand various legal structures.
- Be happy to build upon systems and processes.
What's on Offer
The candidate will be based in their London office. A competitive basic and bonus scheme is on offer. The role is based in their London office, 4 days a week in the office and 1 day remote.