Treasury Manager - 15 month FTC

  • Reed
  • Cambridge, Cambridgeshire
  • Mar 05, 2026
Full time Banking

Job Description

Treasury Manager - 15-Month Fixed Term Contract

An established and growing organisation is seeking a Treasury Manager to join their Finance department on a 15-month fixed-term contract. This role plays a key part in ensuring effective cashflow management, strong internal controls, and smooth operation of Accounts Payable, Accounts Receivable and wider financial processes.

You will manage a small transactional finance team, take ownership of short-term cashflow forecasting, oversee banking and credit management, and support continuous improvement across finance operations. This role is ideal for someone who thrives in a collaborative environment and enjoys both people leadership and hands-on problem-solving.

This role is fully office-based and can pay a salary of £45,000-£50,000.

Key Responsibilities

Accounts Receivable & Credit Control

  • Drive timely cash collection and manage credit terms.
  • Hold regular debtor review meetings with the Finance Assistant.
  • Escalate late-payment risks appropriately.
  • Ensure customer credit limits remain appropriate.

Accounts Payable & Team Leadership

  • Manage and mentor three direct reports.
  • Ensure AP/AR KPIs are achieved.
  • Support team development and career progression.

Cashflow & Working Capital

  • Lead short-term cashflow forecasting in partnership with senior finance colleagues.
  • Work cross-functionally with Sales, Order Management, and Procurement teams.
  • Provide commentary on movements in cash inflow/outflow and working capital metrics.

Banking & FX

  • Manage banking administration, including overseas accounts.
  • Liaise with external providers on FX hedging and facility agreements.

Month-End Duties

  • Oversee timely closure of AP/AR ledgers.
  • Prepare and review balance sheet reconciliations.
  • Produce monthly VAT returns.
  • Calculate DSO, DPO and other key metrics.

Additional Responsibilities

  • Maintain and improve finance policies and processes.
  • Support audit requirements.
  • Assist with trade finance instruments (letters of credit, guarantees, bills of exchange).
  • Support compliance with export VAT rules.
  • Prepare HMRC payment practice reports.
  • Undertake ad-hoc finance tasks as required.

What You'll Need

Essential

  • Previous experience in a similar Treasury or Finance role.
  • Proven people management experience.
  • Ability to work independently and meet deadlines.
  • Proactive, "can-do" attitude.
  • High level of integrity and discretion.
  • Strong Excel skills (Pivot Tables, XLOOKUP, SUMIF).
  • Enjoys working collaboratively as part of a team.

Desirable

  • Treasury or accountancy qualification.
  • Knowledge of VAT rules.
  • Experience with trade finance instruments.
  • Exposure to Microsoft Dynamics 365.

Why Apply?

  • Salary of £45,000 - £50,000
  • 5% Completion Bonus
  • Strong varied job
  • To join a fast forward-thinking company