The Treasury Manager – Global Operations, Governance & Transformation is responsible for strengthening treasury governance, banking infrastructure, liquidity controls, and operational effectiveness across the group’s global entities.
The role manages key treasury activities including bank account rationalization, bank mandates, Know Your Customer requirements, authorized signatory governance, guarantee facilities, corporate guarantees, payment gateways, treasury controls, and subsidiary treasury health assessments.
The Treasury Manager acts as a central point of coordination between Group Treasury, subsidiaries, banks, legal teams, finance, tax, compliance, internal audit, external audit, IT, procurement, and senior management.
A major focus of the role is to simplify and standardize treasury processes, reduce banking complexity, improve control and visibility, digitize manual activities, and ensure that subsidiaries operate in accordance with group treasury policies and minimum control standards.