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Tradeweb Treasury Operations Manager – EMEA in London, United Kingdom

Treasury Operations Manager – EMEA

Location: United Kingdom

Department: Treasury

Reports to: Treasurer

Role Overview

We are seeking an experienced Treasury Operations Manager to oversee cash management, payments, FX execution, banking administration, and treasury systems management across the EMEA region . This role is critical in ensuring efficient liquidity management, robust controls, and accurate reporting, while supporting payroll, tax, AP/AR, and broader finance operations. The successful candidate will combine strong operational execution with technical treasury expertise and the ability to work cross-functionally across Finance, HR, Accounting, and external banking partners.

Key Responsibilities

Payments & Treasury Operations

  • Process urgent and manual payments across the EMEA region.

  • Oversee AP payment processing and employee expense reimbursements.

  • Manage customer refunds and ensure timely follow-up.

  • Support AP/AR/HR/Accounting teams with payment and receipt-related inquiries.

  • Process EMEA payroll and associated tax payments.

Cash & Liquidity Management

  • Maintain daily cash position reporting in Kyriba.

  • Monitor and update FX rates within Kyriba.

  • Prepare monthly cash, investment and FX reporting.

  • Update monthly yield reporting across all bank and investment accounts.

Foreign Exchange & Hedging

  • Prepare monthly FX exposure analysis for Balance Sheet (BS) and Cash Flow (CF) hedge plans.

  • Execute FX spot transactions as needed.

  • Monitor automated FX deal accounts.

  • Maintain FX hedge P&L and mark-to-market reporting (FIS reports).

Banking & Controls

  • Manage bank account openings for new entities.

  • Oversee annual KYC processes for existing bank accounts.

  • Administer bank access and user controls.

  • Maintain and update FBAR reporting.

Governance & Audit

  • Support internal and external audits.

  • Maintain and update treasury process documentation.

  • Ensure compliance with internal controls and regulatory requirements.

Skills & Experience

Essential:

  • 5+ years’ experience in treasury operations, cash management, or corporate treasury.

  • Strong understanding of FX execution and hedging (spot and hedge accounting exposure concepts).

  • Experience with Treasury Management Systems (Kyriba required).

  • Solid understanding of banking operations, KYC, and payment controls.

  • Experience managing multi-currency environments across EMEA.

  • Advanced Excel skills and strong analytical capability.

  • High attention to detail and strong internal control mindset.

  • Knowledge of UK and international payroll/tax payment processes.

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