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PerkinElmer

Treasury Manager, Global Liquidity and Reporting

Posted 18 Days Ago
Be an Early Applicant
Remote
2 Locations
Senior level
Remote
2 Locations
Senior level
The Treasury Manager oversees global liquidity management, including cash pool operations, intercompany financing, and reporting while ensuring compliance with regulations.
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When joining PerkinElmer, you select an experienced and trusted leader in scientific solutions, with the support of a global service network and distribution centers, providing the right solution, at the right time, to meet critical customer needs.  With over an 80+ year legacy of advancing science and a mission of innovating for a healthier world, our dedicated team collaborates closely with commercial, government, academic and healthcare customers to deliver our broad portfolio of analytical solutions, and OneSource services.

Job TitleTreasury Manager, Global Liquidity and Reporting
Location(s)
High Wycombe, United Kingdom - Remote

Purpose

To support the strategic management of global liquidity by overseeing the setup and ongoing operation of the EMEA cash pool, driving intercompany financing initiatives, and supporting in-house bank programs such as global intercompany netting. This role will ensure accurate and timely liquidity and interest reporting, while enhancing global cash visibility, efficiency, and control in alignment with corporate treasury objectives.

Responsibilities

  • Oversee ongoing maintenance and daily operations of the EMEA physical cash pool.
  • Monitor and manage regional and global liquidity positions to ensure optimal cash utilization.
  • Drive cash mobilization efforts through evaluation and analysis of repatriation strategies.
  • Lead intercompany loan structuring, documentation, execution, and interest tracking.
  • Prepare and analyze global liquidity and interest reporting for senior finance leadership.
  • Partner with cross-functional teams to support treasury initiatives such as in-house bank implementations (e.g. global IC netting).
  • Ensure compliance with internal treasury policies and external regulatory requirements related to banking, liquidity and intercompany financing.
  • Identify opportunities to enhance TMS reporting tools or reporting in collaboration with Treasury and Controller teams.
  • Provide treasury input into regional banking structures, account management, and related bank documentation.
  • Support internal and external audits related to cash management, pooling, and intercompany arrangements.
  • Identify and drive continuous improvement opportunities in global treasury, cash management and liquidity processes.

Basic Qualifications

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field.
  • 5+ years of experience in corporate treasury, cash management, or related finance functions.
  • Hands-on experience with global cash pooling structures and intercompany financing arrangements.
  • Strong understanding of treasury operations, liquidity reporting, and intercompany financing.
  • Familiarity with in-house bank concepts and related tools such as netting systems or payment factories (POBO).
  • Proficiency with treasury management systems (e.g., Kyriba, Quantum) and ERP platforms (e.g., SAP, Oracle).
  • Advanced Excel skills and comfort working with financial data and reporting tools.

Preferred Characteristics

  • Certified Treasury Professional (CTP) or similar certification.
  • Experience working in a multinational environment with complex legal and banking structures
  • Knowledge of EMEA banking regulations and regional liquidity practices.
  • Strong interpersonal skills with the ability to collaborate across functions and geographies.
  • Demonstrated ability to lead cross-functional projects and improve treasury processes.
  • Familiarity with ERP platforms (e.g., SAP, Oracle) and financial reporting systems.
  • Detail-oriented, analytical thinker with a proactive and solution-driven mindset.

Top Skills

Excel
Kyriba
Oracle
Quantum
SAP

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