Senior Treasury Manager - Cash Specialist (EMEA)
JLL(1 month ago)
About this role
The Treasury Manager – Cash Management (EMEA) at JLL is a regional treasury role focused on shaping and optimising the EMEA cash infrastructure within a large multinational environment. The position sits in the EMEA regional treasury team and focuses on the region’s banking structure, cash pooling and cash centralisation to support global treasury objectives. The role is London-based and includes collaboration with global treasury, IT, finance and banking partners while overseeing a small team in Poland.
Required Skills
- Cash Pooling
- Cash Centralisation
- Liquidity Management
- Treasury Systems
- Automation
- Process Improvement
- Bank Relationships
- Project Management
- Forecasting
- Team Management
About JLL
jll.comJLL (Jones Lang LaSalle) is a leading professional services firm specializing in commercial real estate and investment management. The company provides a comprehensive range of services to owners, tenants, and investors, addressing their property needs on a national and global scale. With a focus on innovative and intelligent solutions, JLL aims to tackle complex real estate challenges and create better futures within the industry. Their expertise spans various sectors, including advisory, leasing, property management, and capital markets.
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