Are you a skilled treasury professional ready to lead and shape a new treasury function? We are looking for a Head of Treasury to drive key areas such as cash management, foreign exchange hedging, and forecasting within a fast-growing, FTSE250 company.
What You’ll Do:
* Lead the creation and management of a standalone treasury function.
* Set and review treasury strategies and policies with senior leadership.
* Manage group cash flow and implement effective risk management strategies.
* Oversee foreign exchange risk through hedging and financial instruments.
* Improve cash flow forecasting and reporting for better decision-making.
* Manage relationships with financial institutions and collaborate with internal teams.
What We’re Looking For:
* Experience in a treasury role at a large organisation.
* AMCT (or similar) and/or accounting qualification.
* Strong knowledge of foreign exchange risk and hedging.
* Proven leadership and team management experience.
* Solid Excel and modelling skills.
* A proactive, collaborative approach with excellent communication skills.
Why Join Us?
* Flexible Working: Work from home up to 2 days a week with flexible hours.
* Supportive Culture: Be part of a company that values innovation, growth, and diversity.
If you’re ready to make an impact and help drive our treasury function forward, apply now!
Seniority level
Director
Employment type
Full-time
Job function
Accounting/Auditing and Finance
Industries
IT Services and IT Consulting
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