The Treasury team manages the Group’s liquidity risks, financial risks, banking relationships, foreign exchange, corporate funding, digital payments and investments. It is our priority to ensure the Group has the cash it needs to manage its day-to-day business obligations, while also helping develop its long term financial strategy and policies.
As a treasury professional you’re essentially a trusted advisor to the business on financial matters, always looking forward and planning how you can add value and drive success. The decisions you make will have a direct impact on performance and profits.