The Treasury Manager will be responsible for overseeing our client's financial strength, liquidity, and external financial relationships. Reporting to the Group CFO, the role will involve working closely with senior management, business units, and external partners to manage cash and funding, optimize working capital, and ensure strong compliance and governance. The position will require a combination of strategic oversight and hands-on execution, including driving process improvements, strengthening treasury governance, supporting investor communication, and contributing to decisions that align our client's financial strategy with its growth ambitions.Key responsibilities of the Treasury Manager include managing cash and funding, optimizing working capital, and maintaining strong compliance and governance. The role will involve working closely with senior management, business units, and external partners to drive process improvements, strengthen treasury governance, support investor communication, and contribute to decisions that align our client's financial strategy with its growth ambitions. The successful candidate will play a crucial role in managing our client's financial strength and external financial relationships, with a focus on strategic oversight and hands-on execution to support our client's growth ambitions.