Senior Treasury Manager Cash Specialist; EMEA
Listed on 2026-01-27
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Finance & Banking
Corporate Finance, Financial Manager, Risk Manager/Analyst -
Management
Financial Manager, Risk Manager/Analyst
Location: Greater London
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Location: EMEA Region - London
Reports to: EMEA Regional Treasurer
Company: Global Multinational Corporation (USD 25bn turnover)
Role OverviewThe Treasury Manager Cash Management (EMEA) will play a pivotal role in shaping and optimising the region’s cash infrastructure within a highly complex multinational environment. Sitting within the EMEA regional treasury team, this role focuses on the strategic and operational management of the region’s banking structure, cash pooling framework and cash centralisation processes.
The EMEA region currently operates six cash pools and centralises cash from global entities. The successful candidate will lead a comprehensive review of the existing banking and pooling architecture, redesigning it into a more efficient, scalable and strategically aligned structure that supports global treasury objectives and banking relationship strategies.
This role requires a hands‑on cash specialist with strong project management capabilities, deep knowledge of cash pooling and centralisation tools, and the ability to drive automation and process improvement across a largely manual environment. The Treasury Manager will also manage a team of two based out of Poland responsible for daily operations, providing training guidance and technical upskilling.
Key ResponsibilitiesStrategic Cash & Banking Structure Management
- Lead the review, redesign and optimisation of the EMEA banking structure and six existing cash pools.
- Develop a future‑state cash pooling and centralisation model aligned with global treasury strategy and global banking relationship allocations.
- Ensure the EMEA banking footprint supports business needs, client account requirements and efficient liquidity management.
- Evaluate and rationalise bank accounts, pooling structures and intercompany cash flows to improve efficiency and reduce cost.
- Oversee monthly cash centralisation processes and ensure timely, accurate movement of funds across the region.
- Identify and eliminate manual steps, implementing automation and technology‑driven solutions.
- Enhance visibility, forecasting accuracy and control over regional liquidity.
- Map current processes, identify inefficiencies and implement scalable automated solutions.
- Drive adoption of treasury technologies, cash management tools and integration with the TMS and ERP landscape.
- Champion continuous improvement and challenge legacy processes and structures.
- Lead and deliver treasury projects related to cash pooling, bank rationalisation, system enhancements and process transformation.
- Coordinate with global treasury, IT, finance and banking partners to ensure successful execution.
- Prepare business cases, project plans and implementation roadmaps.
- Manage day‑to‑day interactions with regional banking partners in relation to this role.
- Support global treasury in aligning EMEA banking activities with global relationship strategies and wallet distribution.
- Ensure banking services meet operational, regulatory and commercial requirements.
- Direct line management of two treasury managers based in Warsaw, Poland.
- Provide training, coaching and technical guidance to the Cash Manager responsible for daily operations.
- Build treasury capability within the team and foster a culture of learning and continuous improvement.
- Act as a subject‑matter expert for cash pooling, liquidity structures and banking operations.
- Strong experience in…
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