Treasury Manager
๐ผ Treasury Manager
๐ Location: Fully remote (UK)
๐ Department: Finance
๐ Contract: Permanent
๐ Reference: BACK26-023
Booksy is a global platform powering millions of โme-timeโ moments every day โ from helping entrepreneurs grow thriving businesses to making self-care easier for customers worldwide ๐โจ
This is a senior, hands-on Treasury role in a fast-scaling global company. Booksy is upfront: this is not a plug-and-play environment with perfectly polished processes. Instead, itโs ideal for someone who enjoys building structure, taking ownership, and shaping how things are done at scale.
๐ The role at a glance
Reporting to the VP Global Controller, youโll design, build and own Booksyโs global treasury operations as the business continues to grow internationally.
This is a player-coach role โ youโll lead a small treasury team while staying close to the day-to-day detail.
๐ What youโll be responsible for
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Designing and owning cash visibility & liquidity forecasting processes
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Building scalable end-to-end treasury workflows (forecasting, payments, banking structures, approvals)
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Managing daily global cash positioning and contributing to short- and long-term cash flow forecasting
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Optimising global banking relationships and managing the revolving credit facility (including covenants)
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Creating and owning treasury policies, controls and documentation (AML, KYC, regulatory compliance)
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Selecting, implementing and improving treasury systems & automation
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Partnering with Accounting, FP&A, Tax and Reporting teams to improve cash accuracy and working capital
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Identifying and mitigating financial risks (FX, interest rate, operational and counterparty risk)
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Leading and developing a small treasury team while remaining hands-on
โ What theyโre looking for
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8+ years in Finance / Accounting / Treasury
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5+ years in treasury-focused roles
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Experience building or scaling treasury operations in startups or high-growth environments
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Proven ownership of treasury workflows, controls and systems
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Strong knowledge of cash management, liquidity planning and risk management
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Experience implementing or improving treasury / cash management systems
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Comfortable working with evolving processes and imperfect data
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Experience in multi-entity, international organisations
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Strong stakeholder management and leadership skills
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English proficiency B2+
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Degree in Finance, Accounting, Economics or similar
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Professional certifications a plus (CTP, ACT, CFA)
๐ Benefits & perks
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Fully remote role within the UK ๐ก
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25 days holiday + public holidays + your birthday off ๐
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Vitality Private Medical Insurance (incl. dental & optical)
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Enhanced pension: 5% employee + 5% employer match
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Life assurance (4x annual salary)
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Access to wellbeing & lifestyle discounts
๐ This role is ideal for someone who:
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Is a senior treasury professional ready to own and shape a global function
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Enjoys building systems and structure, not just maintaining them
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Thrives in scale-ups where priorities evolve
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Wants remote flexibility without sacrificing responsibility or impact