Originally founded by James Howden in Scotland as a marine engineering firm in 1854, Howden has grown and evolved into a global leader in manufacturing air and gas handling solutions. With the power of our engineering expertise and technology, our equipment plays an integral role within our customers’ processes, which provide safe and reliable solutions that are both sustainable and efficient.
Howden supports multiple sectors including infrastructure, power generation, oil & gas, wastewater, metals, mining and transportation.
Howden are now recruiting a Treasury Manager to be based in Glasgow. This is an exciting opportunity for a qualified / experienced treasury professional who is looking to advance their career. This role reports to the Head of Group Treasury.
As Treasury Manager, you will be responsible for the ongoing management of the Group’s short-term liquidity, debt servicing and transactional FX risk management. You will be primary dealer for the management of the Group’s FX derivative transactions ensuring all trades are executed promptly, at competitive pricing and settled within respective currency cut-off times. You will provide support to the Group’s Business Units and Shared Service Centre with regards to all aspects of Treasury related activities and liaise with external bank counterparties/stakeholders ensuring compliance with Treasury SOX Control policies.