Head of Treasury
New Yesterday
- This is a high-impact opportunity for a commercially minded Head of Treasury
- hands-on leadership role within a global, fast-paced environment.
About Our Client
My client is a global business with a long-standing reputation for delivering high-quality solutions to a diverse range of industries. Operating across multiple international markets, the company plays a critical role in supporting infrastructure projects, industrial operations, and commercial enterprises worldwide. With a focus on innovation, operational excellence, and customer-driven solutions, the business continues to grow both organically and through strategic partnerships.
Their multi-entity, multi-currency structure creates a complex financial environment that demands a forward-thinking and commercially astute treasury function. The company fosters a dynamic, collaborative culture where financial leadership is expected to partner closely with operational and commercial teams to drive performance. As part of its ongoing transformation and growth strategy, my client is now seeking an experienced Head of Treasury to lead and develop a modern treasury function that supports both strategic objectives and day-to-day operational needs.
This is an excellent opportunity for a treasury professional who enjoys working in a hands-on leadership role within a global, fast-paced environment.
Job Description
This is a high-impact opportunity for a commercially minded Head of Treasury to lead and develop the group's treasury function. The role covers end-to-end treasury management, including liquidity optimisation, working capital efficiency, financial risk mitigation, and cash flow forecasting. Acting as a strategic partner across the business, the successful candidate will ensure treasury operations align with broader commercial goals while enhancing governance, process control, and financial visibility.
- Cash Forecasting & Liquidity Management
- Lead and enhance the 13-week direct cash flow forecasting process.
- Present forecasts and variance analysis to senior management and lenders.
- Oversee day-to-day liquidity management across multi-entity, multi-currency structures.
- Working Capital & Trade Finance
- Manage and expand existing working capital solutions (including factoring programmes).
- Ensure seamless alignment between trade credit insurance and receivables finance.
- Oversee bank guarantee management and compliance reporting.
- Treasury Relationship Management
- Own and develop key banking and financial partner relationships.
- Act as the primary liaison for credit insurers and credit rating agencies.
- Lead the company's credit rating strategy and manage ongoing agency engagements.
- Foreign Exchange Risk Management
- Manage and refine FX hedging strategies in response to market dynamics.
- Apply best-in-class practices for managing both transactional and translational FX risks.
- Policy, Governance & Reporting
- Maintain ownership of the group treasury policy, ensuring compliance with regulatory and lender requirements.
- Monitor financial covenants, interest costs, and treasury KPIs.
- Support FP&A and Accounting teams on treasury-related audits and reporting.
- Treasury Systems & Process Optimisation
- Lead ongoing development and improvement of the Treasury Management System (TMS).
- Drive automation and controls enhancement across treasury processes.
The Successful Applicant
- Degree-qualified in Finance, Accounting, Economics, or a related field.
- Professional accounting or treasury qualification (e.g., ACT, ACA, ACCA) preferred.
- Extensive experience in a senior treasury leadership role, ideally within an international manufacturing or industrial environment.
- Strong track record in improving forecasting, liquidity management, and treasury controls.
- Excellent stakeholder management skills, with confidence presenting to senior leadership and lenders.
- Strong analytical mindset with the ability to translate complex financial data into actionable business insight.
- Hands-on experience leading TMS implementation or optimisation projects (Coupa experience advantageous but not essential).
What's on Offer
- Competitive salary in the £90,000 to £100,000 range and benefits package.
- Hybrid working model (2- 3 days onsite).
- Opportunity to lead a strategic treasury function.
- High-impact, commercially visible role with senior leadership exposure.
- Location:
- West Midlands Combined Authority, England, United Kingdom
- Salary:
- £125,000 - £150,000
- Job Type:
- FullTime
- Category:
- Finance
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