Treasury Cash Manager – Liquidity & Forecasting Lead

Company: Investigo
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Job Description:

Investigo is seeking a Treasury Cash Manager for an initial 6-month fixed-term contract, with the potential to become permanent. You will own group-wide cash management, liquidity planning and short-term forecasting across a multi-entity environment.

Responsibilities include leading daily cash management, forecasting, reporting to senior stakeholders and driving treasury transformation initiatives. A strong track record in treasury operations and stakeholder management is essential.

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Posted: October 1st, 2026