Mundipharma Logo

Mundipharma

Treasury Manager

Posted 13 Days Ago
Be an Early Applicant
In-Office
London, England
Mid level
In-Office
London, England
Mid level
The Treasury Manager oversees global cash management, reports on cash positions, manages liquidity, and executes FX transactions, supporting finance operations and compliance.
The summary above was generated by AI

Treasury Manager

Location: Pall Mall, London - Hybrid (3-4 days per week)

Department: Finance

Job type: 12-month contract (Inside IR35)

Join us and make a difference when it matters most! 

At Mundipharma, we are proud of the work we do to bring innovative treatments to patients. We challenge ourselves constantly to deliver more for patients, healthcare professionals, our partners, and our employees. 

The Team

The Treasury Manager supports effective global cash and liquidity management across the Mundipharma network by monitoring weekly funding requirements, investing surplus cash to maximize returns and executing FX transactions to fund foreign currency transactions. The role will consolidate and report the global weekly cash position and assist the wider team with financial reporting and policy compliance responsibilities.

Role and Responsibilities

  • Cash & Liquidity Management: Lead regular internal meetings to identify currency funding requirements of Mundipharma network entities covered. Manage the investment of idle cash balances by utilising bank deposits and money market funds. Execute FX transactions via bank trading platforms.

  • Cash Reporting: Consolidate and report the global weekly/monthly cash position to the Group CFO, Group Treasurer and Group Financial Controller.

  • Risk Management: Monitor and report on financial risks, ensuring compliance with internal policies and external regulations.

  • TMS Project: Support Treasury Director with TMS implementation tasks (connectivity, process flows, testing, reporting output etc..)

  • Team Activities: Support wider treasury function tasks relating to process improvements, reporting and analysis caused by the implementation of a new treasury management system.

What you’ll bring

  • Proven experience in cash and liquidity management

  • Experience in Foreign Exchange (FX) dealings and trading platforms 

  • Solid background in operational Treasury processes

  • Previous experience in the Pharma industry / global environments may be beneficial

  • Previous experience with FIS Treasury Management system would be advantageous

  • Educated to degree level in Economics and /or Accounting

  • Completed or studying towards ACT qualification

What we offer in return

  • Opportunities for learning & development through our varied programme 

  • Collaborative, inclusive work environment

Diversity and inclusion

Building an inclusive environment where people can thrive, grow and achieve their full potential is a priority. We believe this isn’t just the right thing, but also the smart thing to do. We are on a journey and will seek to move forward together through education and awareness to build a culture that welcomes and celebrates diversity and uniqueness. We will create a workplace environment where everyone can, every day, bring their authentic selves and is treated with dignity and respect. 

About Mundipharma

Mundipharma is a global healthcare company focussing on customers across Africa, Asia Pacific, Canada, Europe, Latin America, and the Middle East.  

Mundipharma is dedicated to bringing innovative treatments to patients in the areas of pain management, infectious disease as well as other severe and debilitating disease areas. Their guiding principles, centered around Integrity and Patient-Centricity, are at the heart of everything they do. For more information visit www.mundipharma.com.  

Join our talent pool

If you’re not sure this role is right for you but you’re keen to hear about future opportunities at Mundipharma, join our talent community and be the first to hear about new roles.


Additional Job Description:

Primary Location:

GB London

Job Posting Date:

2026-02-27

Job Type:

Independent Consultant

Top Skills

Fis Treasury Management System

Similar Jobs

9 Days Ago
Hybrid
London, Greater London, England, GBR
Mid level
Mid level
Information Technology
The Treasury Manager will oversee cash flow management, accounting entries, FX transactions, and collaborate with stakeholders to improve liquidity and reporting.
Top Skills: Excel
8 Days Ago
Hybrid
London, Greater London, England, GBR
Senior level
Senior level
Fintech • Mobile • Payments • Software • Financial Services
Lead the Treasury Ledger platform development, ensuring data integrity and compliance for international transactions, while improving operational controls.
Top Skills: Data ModelsInfrastructure ChoicesTreasury Systems
2 Days Ago
In-Office
London, Greater London, England, GBR
Senior level
Senior level
Fintech • Software • Financial Services
The role involves providing technical tax advice, managing compliance, supporting direct tax legislation, resolving disputes, and mentoring tax team members.
Top Skills: Ifrs Accounting

What you need to know about the London Tech Scene

London isn't just a hub for established businesses; it's also a nursery for innovation. Boasting one of the most recognized fintech ecosystems in Europe, attracting billions in investments each year, London's success has made it a go-to destination for startups looking to make their mark. Top U.K. companies like Hoptin, Moneybox and Marshmallow have already made the city their base — yet fintech is just the beginning. From healthtech to renewable energy to cybersecurity and beyond, the city's startups are breaking new ground across a range of industries.

Sign up now Access later

Create Free Account

Please log in or sign up to report this job.

Create Free Account