We're looking for a Treasury Manager to lead our liquidity, capital, and funding strategy across Plum. You'll oversee treasury operations, ensure financial resilience, and manage liquidity and capital planning to support our growth.
Requirements
- 4+ years of experience in treasury within a UK-regulated financial services business
- Proven experience working across multiple legal entities with distinct capital and regulatory requirements
- Strong background in liquidity and capital planning as part of business planning cycles
- Excellent analytical, problem-solving, and communication skills
Benefits
- Stock options
- Private health insurance
- Annual training budget
- Plum Premium
- Referral scheme
- Flexible approach to remote working
- Team breakfasts and team lunches
- 25 days holiday + bank holidays
- 45 work-from-anywhere days
- 2 weeks sabbatical after 4 years
- Enhanced parental leave
- 1 paid volunteering day annually
- Annual team trip