Are you an ambitious and accomplished Treasury professional looking for your next challenge?
We are recruiting a Head of Treasury for a London based SME business who have achieved incredible results and continue to smash growth forecast worldwide. As a result, they are in need of a dynamic and experienced Treasury Manager to work across their global businesses.
Responsibilities: As a Head of Treasury, you will be responsible for
A hands-on approach to building a best-in-class Treasury function, supporting the global businesses
Cash and Liquidity Management: Optimising group cash and liquidity.
Managing multiple multi-currency bank accounts and relationships and optimising group positions
Developing and enhancing the group Treasury strategy.
Reporting to the CFO this is a vitally important role in the change and growth management strategy of the business
Requirements: Aa an experienced Senior Treasury Manager, you will need
Strong background in managing global treasury strategy, FX and hedging positions
Excellent technical and commercial Treasury experience with a focus on change management, process improvements.
Excellent communication skills, managing both internal and external stakeholder relationships and explaining strategy.
Excellent salary and benefits
Generous bonus
An organisation that is thriving and growing at an exciting rate
This is a fast moving role, looking to interview asap, please apply today or contact Toby Briant for further details
Rutherford Briant is passionate about equity, diversity, and inclusion. We seek individuals from the widest talent pool and encourage underrepresented talent to apply to vacancies with us. We are committed to recruitment processes that are fair for all, regardless of background and personal characteristics.