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Treasury & Commodity Advisory – Senior Manager

CompraTica Empleos

EMP:Management
London, England
Tiempo Completo
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Descripción

Senior Manager – Treasury & Commodity Advisory Senior Managers at CFGI work closely with CFOs, Group Treasurers, and senior finance leadership across FTSE 100, mid-cap, and high-growth organisations.

You will lead complex treasury and commodity advisory engagements, owning delivery, managing senior client relationships, and driving strategic outcomes across liquidity, financial risk, and treasury transformation.

Senior Managers are expected to operate as engagement leaders, combining deep technical expertise with strong delivery execution and senior stakeholder engagement.

Take ownership of your career at CFGI: Gain exposure to a wide range of industries and large-scale treasury transformation programmes.

  • Lead high-impact engagements and make a tangible business impact for clients.
  • Own projects end-to-end, from diagnostic through to implementation.

Work directly with senior client stakeholders in highly visible, client-facing roles.

Be consistently challenged and learn in a collaborative environment of top-tier treasury professionals.

Enjoy the flexibility of office/remote/client site work locations (engagement specific).

Create your own path.

Enjoy what you do! What you might expect: Lead client engagements, acting as a trusted advisor to CFOs and Treasurers on treasury strategy, transformation, and risk management.

  • Own end-to-end delivery of treasury transformation programmes, including operating model design, process optimisation, and governance frameworks.
  • Lead initiatives across cash management, liquidity optimisation, and forecasting transformation, delivering measurable outcomes.

Advise on and lead financial and commodity risk management engagements, including hedging strategies, trading frameworks, and controls.

Oversee implementation of treasury technology, payments infrastructure, and bank connectivity solutions (e.

, Kyriba, SAP, FIS).

Drive advisory on working capital optimisation, including cash conversion cycle improvement, receivables/payables str.

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