Description
The Senior Treasury Manager will own foreign exchange risk management, commodity hedging, cash forecasting, daily cash management, and larger treasury projects such as ancillary facilities, M&As, capital markets, financing, and refinancing. The role provides technical leadership and coaching to the Treasury team, manages bank relationships and treasury transactions, develops hedging strategies, monitors financial and credit risk, and improves cash, FX, interest-rate, and borrowing-cost management. Candidates need deep knowledge of financial markets, derivatives, Treasury systems, and control frameworks, along with a professional Treasury qualification; the role is based at Morrisons’ modern Head Office near Leeds, Manchester, and the Yorkshire Dales.
