Global Treasury Manager – Cash & Liquidity Strategy

Company: Tillo
Apply for the Global Treasury Manager – Cash & Liquidity Strategy
Location: London
Job Description:

Tillo is seeking an experienced Treasury Manager to own global cash operations, capital structures, and liquidity forecasting in a fast-growing FinTech environment. You will implement robust treasury controls, manage complex client floats, and design rigorous compliance frameworks to optimise capital deployment.

In this high-visibility role, you will lead daily cash positioning, coordinate rolling forecasts, and collaborate with the CFO and Head of FP&A on strategic liquidity decisions.

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Posted: August 19th, 2026