Head of Liquidity and Planning Analysis
Hybrid · London, England, United Kingdom
Job Summary
Head of Liquidity Planning and Analysis to lead design and implementation of a group-wide liquidity planning framework, embed a new cash metric, design forecasting models and governance, improve cash visibility, challenge assumptions, and partner with senior stakeholders. The role includes leading a small team, shaping a scalable long-term operating model, and negotiating a hybrid work arrangement primarily from London with the UK-based Group Treasury function.
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