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