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Treasury Manager

WeConnect Energy is looking for a Treasury Manager to join an independent full-cycle energy business in the UKCS, based in their London office on a 6-12 month contract. The role supports the Head of Corporate Finance and focuses on cash management, liquidity forecasting, and delivering key financial analysis to senior leadership.

 

Key Responsibilities:

  • Manage the group’s liquidity position through cash forecasting.
  • Oversee cash allocation across bank and money market deposits.
  • Contribute to group funding operations, treasury controls, and banking services.
  • Lead treasury-specific projects and support ad-hoc tasks for senior executives.

     

Key Skills & Experience:

  • Advanced Excel and PowerPoint skills.
  • Significant treasury experience, ideally within E&P.
  • Strong communication and analytical skills.

     

This role offers the opportunity to work closely with C-suite executives, providing valuable exposure to high-level financial decision-making within a growing energy business.

Treasury Manager

United Kingdom
Full time

Published on 01/29/2025

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