
We are excited to be partnered with this fast-growing, multinational investment platform in Luxembourg in their search for a Senior Treasury Manager. This individual will lead treasury operations, drive liquidity and cash management, and shape financial risk strategy in a dynamic, high-impact role. Collaborating across teams, implementing best-in-class treasury systems, and playing a key part in the company’s growth and financial performance.
The Role
We are seeking a Senior Treasury Manager to join a fast-growing, multinational investment platform in Luxembourg. This is a high-impact role, reporting to the Head of Treasury, where you will take ownership of the company’s treasury operations, including cash and liquidity management, financial risk oversight, and treasury technology. You will play a key part in shaping treasury strategy, processes, and systems while collaborating across finance, legal, and business teams in a dynamic, growth-focused environment.
Key Responsibilities
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Cash & Liquidity Management: Oversee daily cash flow, liquidity positions, and forecasting; implement centralised cash management structures; maintain banking relationships and internal controls; manage short-term investments and debt obligations.
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Financial Risk & Governance: Execute FX and other financial transactions to manage risk; define and enforce treasury policies and internal controls; conduct audits and maintain documentation.
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Treasury Technology & Process Optimisation: Manage the Treasury Management System (TMS), drive bank connectivity integration, leverage analytics for actionable insights, and lead process automation and digitization initiatives.
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Financial Reporting & Leadership: Prepare and present treasury reports and forecasts; provide input on strategic initiatives; lead, mentor, and develop treasury staff; collaborate cross-functionally to support business growth.
The Candidate
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7+ years of treasury experience, preferably in investment, asset management, or asset-heavy industries.
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Strong expertise in cash management, liquidity planning, and financial risk management.
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University degree in Finance, Economics, or related field
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Fluent in English; additional European languages desirable.
Why Apply
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Opportunity to shape treasury strategy and operations at a senior level within a fast-growing multinational platform.
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Work in a dynamic, collaborative environment with exposure to strategic decision-making.
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Lead and develop a treasury team while driving innovation and technology adoption.
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Competitive compensation and professional growth opportunities in Luxembourg.
If you are interested in hearing more, please send your CV (Word Format) to Katie@treasuryrecruitment.com
*PLEASE NOTE : Our client is unable to provide relocation or visa sponsorship for this position. Applicants must already have the right to work and be based within commuting distance.*
