Elizabeth Bada
Corporate Treasury Manager - Uk & Emea @Light & Wonder
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WORK HISTORY
Corporate Treasury Manager - Uk & Emea @Light & Wonder
Manchester, GB
As Corporate Treasury Manager for the EMEA region, I lead the strategic management of treasury operations across multiple markets, ensuring optimal liquidity, robust risk management, and strong financial governance. Partnering closely with global treasury teams and cross-functional stakeholders, I drive initiatives that enhance cash flow efficiency, safeguard financial assets, and support the company’s growth objectives.Key Responsibilities: • Cash & Liquidity Management: Oversee daily cash operations including positioning, forecasting, and reporting, while designing and executing liquidity strategies to ensure sufficient funding for operational and strategic initiatives. • Financial Risk Management: Identify, assess, and mitigate key financial risks — including foreign exchange, interest rate, and credit exposures — to protect the company’s financial stability. • Banking & Financial Relationships: Build, manage, and optimize partnerships with banks and financial institutions to improve service delivery, negotiate terms, and reduce transaction costs. • Regulatory & Policy Compliance: Ensure full adherence to internal treasury policies and external regulatory requirements, maintaining a strong governance framework across all treasury activities. • Strategic Reporting & Insights: Deliver regular, insightful reporting on treasury performance, liquidity status, risk exposures, and market developments to senior leadership. • Leadership & Team Development: Lead and mentor a team of treasury professionals, fostering a high-performance culture focused on operational excellence, innovation, and continuous improvement.
EDUCATION
South Trafford College
BTEC, Diploma in Busines
Sheffield Hallam University
Bachelor of Arts (BA), Accounting and Financial Management
SKILLS
ABOUT ELIZABETH BADA
With over 9 years of experience in Treasury and Financial Operations, I have developed a strong foundation across back office, middle office, front office, and treasury accounting, gaining a comprehensive understanding of cash management, liquidity, and financial risk.As a results-driven finance professional, I thrive in dynamic environments that demand precision, problem-solving, and collaboration. Known for my analytical mindset and proactive approach, I am passionate about driving efficiency, innovation, and strategic value across financial operations.I am dedicated to continuous learning and delivering excellence, contributing to both organizational growth and long-term success.Core strengths: Treasury Management | Financial Analysis | Process Optimization | Cross-Functional Leadership | Problem Solving | Strategic Execution
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