International Treasury Manager

Job description

Location: London (Hybrid working, typically 1-2 days per week in the office)

Do you know how to build an FX hedging programme from the ground up? Have you managed cash across multiple currencies and jurisdictions in a truly global environment? Looking for a role where you can shape and evolve how treasury operates internationally, not just maintain it?

At CFA Institute, we are strengthening our global treasury capability to support increasing international growth. As our International Treasury Manager , you will play a central role in managing global cash and liquidity while building and evolving key areas of our treasury function, particularly across foreign exchange and international operations. This role combines hands‐on delivery with targeted build responsibility, offering the opportunity to work across a complex, global environment with direct exposure to senior stakeholders.

What You'll Do

Build and implement a foreign exchange hedging programme, managing exposure and improving how we navigate currency volatility

Manage international cash positioning and liquidity, ensuring subsidiaries and global operations are effectively funded

Work closely with the US-based Cash Manager to align cash forecasting, funding, and hedging activities, providing cover where needed

Design and implement multi‐currency cash pooling structures to optimise global liquidity

Own KYC processes across multiple jurisdictions, including annual refresh cycles and banking relationship management

Execute FX transactions and provide clear analysis on FX gains, losses, and performance drivers

Work with the treasury management system (Kyriba) and banking platforms to support controls, governance, and operational efficiency

Support global expansion by addressing banking, regulatory, and FX implications in new and evolving markets

Contribute to ongoing improvements in treasury processes, reporting, and controls

What We're Looking For

Proven experience designing and running FX hedging programmes in a corporate treasury environment

Strong background in multi‐currency cash management and liquidity optimisation across international entities

Hands‐on experience implementing or managing cash pooling structures

Demonstrated ownership of KYC processes across multiple jurisdictions, including direct engagement with banking partners

Solid experience in cash flow forecasting and translating insights into funding and hedging actions

Experience operating within a multinational organisation, managing cross‐border cash and FX exposure

Familiarity with treasury systems such as Kyriba or similar platforms

A seasoned treasury professional comfortable operating independently in a technical, global environment

Clear communicator, able to explain complex treasury and FX concepts to stakeholders

Why Join Us

Opportunity to build and evolve key areas of international treasury, particularly across FX and liquidity

High ownership across cash management, FX execution, and global treasury operations

Exposure to senior leadership and global decision‐making

Work across a truly international footprint spanning the US, EMEA, and APAC

Be part of a lean, high‐impact treasury team where your work directly influences outcomes

Engage in meaningful work that combines operational delivery with targeted transformation initiatives

Expected salary range: £60,000 – £85,000 per year. All salary ranges are subject to adjustment based on experience, education, and other factors. Additional benefits include eligibility for an annual incentive bonus, a 12% employer contribution to a pension plan, and a comprehensive medical benefits package.

Benefits

Comprehensive health coverage for you and your family

Generous leave and time off

Competitive retirement plans

Flexible work options

Wellness, education, and support programs

We are an Equal Opportunity Employer. CFA Institute prohibits both discrimination and harassment with regard to all identifying characteristics: any individual employee, group of employees, or prospective employee on the basis of race, color, national origin, citizenship or immigration status, religion, creed or belief, age, marital or partnership status, marital or family status, caregiver status, pregnancy and maternity, sexual and other reproductive health decisions, physical abilities/qualities, disability, sexual orientation, gender, gender identity or expression, predisposing genetic characteristic, military or veteran status, status as a victim or witness of domestic violence or sex offense or stalking, unemployment status, infectious disease carrier status, migrant worker status, educational background, socio‐economic status, geographic location and culture or any other basis protected by applicable law. This policy impacts all aspects of employment, including but not limited to, recruitment, hiring, compensation, training, development, promotion, demotion, layoff, recall, furlough, transfer, leave of absence, and dismissal. This is a global policy that applies to all CFA Institute employees, regardless of location.

If, due to a disability or current medical condition, you need an accommodation or assistance to complete a job application, you can request one at any stage of the recruitment process. Please send an email to humanresources@cfainstitute.org noting the accommodations or assistance you are requesting. Please do not include any medical or health information in this email. We will review your request and contact you to discuss the possible options and arrangements. We will try our best to provide you with an accommodation or assistance that meets your needs and respects your preferences.

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Extra information

Status
Open
Education Level
Secondary School
Location
London
Type of Contract
Full-time jobs
Published at
01-06-2026
Full UK/EU driving license preferred
No
Car Preferred
No
Must be eligible to work in the EU
No
Cover Letter Required
No
Languages
English

London | Full-time jobs | Secondary School

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