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1 mo agofound 5 d ago
Finance Manager (Funding and Cashflow)
What the posting is about
Manage group's cash flow, funding, and liquidity. Improve banking structure and cash management. Collaborate with internal and external stakeholders. Lead finance teams in cash flow and treasury activities.
Read out of the posting
LevelNot stated
Experience asked5+ years
EmploymentFull time
LocationLondon, GB
RemoteNot stated
Visa sponsorshipNot stated
SalaryNot published, and most postings do not
Posted2026-08-27
Found viateamtailor, direct from their system
We saw it 1 month after it went up.
The posting, as the company wrote it
Company Overview:
Team Creation Limited is a fast-growing software development company operating across Asia and Europe. We provide services including market research, artificial intelligence solutions, cloud computing, and mobile application development for a broad range of international clients. Our focus is on delivering innovative and high-quality technology solutions while supporting the continued growth and development of our professional workforce.
Role Overview:
The Finance Manager – Funding & Cashflow is responsible for overseeing the group’s funding, liquidity and cashflow management activities across all entities. The role ensures the group maintains sufficient liquidity to meet its operational and strategic requirements while optimising the use and cost of available funding.
Key Responsibilities:
Own and manage the group’s cashflow forecasting process, including short-, medium- and long-term cashflow forecasts.
Monitor group cash balances, liquidity, funding requirements and cash movements across entities.
Analyze actual cashflow against forecast, identify variances and work with finance and operational teams to address issues.
Review and improve the group’s banking structure, cash management, and treasury arrangements.
Support the development of the group’s funding strategy and advise management on appropriate funding options.
Work closely with internal and external stakeholders.
Provide leadership, guidance and support to finance teams involved in cashflow and treasury activities.
Qualifications & Skills:
Bachelor’s degree in Finance, Accounting, Economics, Business or related discipline.
Minimum 5 years of relevant post-qualification experience, preferably within a group Finance, Treasury, Corporate Finance or similar environment.
Strong experience in cash flow forecasting, liquidity management, financial modelling, and debt/funding arrangements.
Proficient in Microsoft Excel and accounting software.
Occasional travel to group offices and operating entities, as required.
Experience working in multi-entity, multi-currency group environments.
Excellent communication and stakeholder management skills, with the confidence to work with senior management, banks and external advisers.
Highly organised, detail-oriented and proactive, with strong ownership and accountability.
Fluency in spoken and written English and Chinese.
We Offer:
Experience a dynamic and team-orientated work environment
Opportunities for personal growth and learning
An open, inclusive and supportive team where you will be valued, and your suggestions will be welcome
26 days paid holiday per year, in addition to local public holidays
Competitive salary
Risk Benefits such as pension, Life Assurance (4x annual salary), Private Medical Insurance
Team Building activities
Local discounts and more...!
Copied from Team Creation Limited’s own board, not rewritten. Original ↗
Also open at Team Creation Limited
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