SENIOR GROUP TREASURY MANAGER at Merlin Entertainments
London, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

30 Oct, 25

Salary

0.0

Posted On

30 Jul, 25

Experience

10 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Tax, Finance, Pension, Merlin, It, Liquidity, Working Model, Progression, Communication Skills, Eligibility

Industry

Financial Services

Description

SENIOR GROUP TREASURY MANAGER

Location (Country-County-City) UK-Dorset-Poole
Job Locations UK-Dorset-Poole | UK-Greater London-London
ID
2025-9284
Employment Type
Full-Time
Offer/Contract Type
No End Date
Location Name
Poole Head Office

JOIN THE MAGIC BEHIND THE SCENES – SENIOR GROUP TREASURY MANAGER

Poole or London | Hybrid working | Full-time
A job with Merlin isn’t like a job anywhere else. With attractions around the world, from rollercoasters to wax figures, we don’t trade in suits, handshakes or briefcases. We trade in fun. In smiles, shrieks and spine-tingles.
We create joy, unforgettable experiences, and iconic attractions all over the world – from LEGOLAND® and Alton Towers to Madame Tussauds and the London Eye. And behind every magical moment is a talented team that keeps it all running.
We’re now looking for a Senior Group Treasury Manager to join our Corporate Finance function – a critical role at the heart of our global operations. If you thrive in a fast-paced, creative environment and want to help shape the financial future of a world-class brand, this could be your next adventure.
What You’ll Be Doing

You’ll lead day-to-day management of our Group’s cash, funding, and liquidity, ensuring we run efficiently and cost-effectively across our global operations. This is a hands-on leadership role with responsibility for:

  • Cash forecasting – owning and improving the weekly forecasting process
  • Hedging & risk management – designing FX and interest rate hedging strategies
  • Intercompany movements – managing intra-group cash and settlement methods
  • Banking relationships – maintaining and optimising relationships with our key banking partners
  • Treasury systems – overseeing platforms like Kyriba, HSBCnet, Bloomberg, 360T, and more
  • Reporting – preparing dashboards, supporting statutory disclosures, and driving improvements
  • Team leadership – mentoring and developing a small treasury team

QUALIFICATIONS & EXPERIENCE

  • 10+ years’ experience in corporate Treasury
  • Broad understanding of Accounting, Tax, and Finance
  • Strong knowledge of Treasury operations, policies, and risk management
  • Proven experience managing funding, liquidity, and intercompany finance
  • Experience implementing and managing Treasury systems (desirable)
  • ACT/AMCT qualification or equivalent (preferred)
  • Collaborative and proactive mindset with strong communication skills

    What’s in It for You?

  • Salary: Competitive, aligned to experience and market

  • Bonus: Annual bonus (eligibility dependent on start date and scheme rules)
  • Holidays: 25 days annual leave + bank holidays
  • Pension: Up to 6.5% matched contributions (minimum of 8% total contribution - 4% EE, 4% ER)
  • Flexibility: Hybrid working model with time across our Poole or London offices
  • Progression: Be part of a growing, global finance team with clear career pathways
  • Magic perks: Merlin Magic Pass (free tickets for you and family to all our attractions worldwide), discounts, and more!

    Why Join Merlin?
    We’re the global name behind some of the most loved attractions on the planet. At Merlin, your work directly supports the magic experienced by millions. Join a place where your career can grow, your ideas can shine, and your contributions make a real impact.
    Ready to bring your expertise to a world of fun and finance?
    Apply now and help us power the magic at Merlin Entertainments.

Responsibilities
  • Cash forecasting – owning and improving the weekly forecasting process
  • Hedging & risk management – designing FX and interest rate hedging strategies
  • Intercompany movements – managing intra-group cash and settlement methods
  • Banking relationships – maintaining and optimising relationships with our key banking partners
  • Treasury systems – overseeing platforms like Kyriba, HSBCnet, Bloomberg, 360T, and more
  • Reporting – preparing dashboards, supporting statutory disclosures, and driving improvements
  • Team leadership – mentoring and developing a small treasury tea
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