Man Group
Financial Services
TreasuryManager
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“Treasury Manager at Man Group. Skills: Treasury, Cash management. Lead global cash management operations. Manage investment of Group's cash”
Industry & Context.
Identify and solve complex problems
What They're Looking For.
Must Have
Treasury/cash management experience, Understanding of cash management/treasury instruments
Nice to Have
Coding background
What You'll Do.
Lead global cash management operations
Manage investment of Group's cash
Manage daily positions
Develop cash flow forecasting capabilities
Manage corporate FX hedging programme
Oversee payments policy effectiveness
Reconcile forecast cashflows to actuals
Build relationships with stakeholders
Report on Treasury activity
Report on portfolio performance
Assist with portfolio administration
Reconcile seed portfolio to general ledger
Identify and solve complex problems
Improve processes continuously
Drive technological adoption
How You'll Work.
Team & Collaboration
Build relationships with stakeholders
Full Job Description
About Man Group Man Group is a global alternative investment management firm focused on pursuing outperformance for sophisticated clients via our Systematic, Discretionary and Solutions offerings. Powered by talent and advanced technology, our single and multi-manager investment strategies are underpinned by deep research and span public and private markets, across all major asset classes, with a significant focus on alternatives. Man Group takes a partnership approach to working with clients, establishing deep connections and creating tailored solutions to meet their investment goals and those of the millions of retirees and savers they represent. Headquartered in London, we manage $227.6 billion* and operate across multiple offices globally. Man Group plc is listed on the London Stock Exchange under the ticker EMG.LN and is a constituent of the FTSE 250 Index. Further information can be found at www.man.com * As at 31 December 2025 Purpose of role: The Man Group Corporate Treasury Team sits within the Corporate Finance department and is responsible for the following broad treasury-related activities of Man Group plc and its subsidiaries: Funding and day-to-day liquidity management Management of inter-company funding and settlements Management of global surplus cash Foreign exchange rate risk management Interest rate risk management Other treasury-related areas The role will also require you to support the Group Treasurer on project-based work and also to support the Senior Analyst in the team and help to develop the teams overall technical expertise, to ensure the Man Treasury team is a ‘best-in-class’ function. Specific responsibilities: Leading global cash management operations for Man Group plc and its subsidiaries, targeting cash efficiencies and managing the investment of the Groups cash as well as managing daily positions Developing the Groups cash flow forecasting capabilities Managing the corporate FX hedging programme Front-end user ownership of the Group
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