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Head of Treasury

Marc Daniels
Posted 3 days ago, valid for 23 days
Location

Slough, Berkshire SL11XY, England

Salary

£120,000 - £130,000 per annum

Contract type

Full Time

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Sonic Summary

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  • An exciting opportunity for a Head of Treasury has become available at an international Technology company located in Slough.
  • The role requires over 10 years of proven experience in treasury management, with a focus on multi-entity, international corporate finance.
  • Key responsibilities include managing cash flow forecasting, liquidity, and risk management while developing strategies for capital allocation and funding.
  • The position offers a competitive salary, reflecting the seniority and expertise required for the role.
  • Candidates must possess strong leadership capabilities and advanced proficiency in treasury management systems and financial software.

An exciting opportunity has arisen for a Head of Treasury to join an international Technology business based in Slough.

Key Responsibilities:

  • Lead and manage the global treasury function, overseeing cash management, liquidity, and risk management across all subsidiaries and entities.
  • Develop and implement strategies for capital allocation, funding, and debt management.
  • Oversee the group's cash flow forecasting and working capital management, ensuring optimal liquidity levels.
  • Manage foreign exchange, interest rate, and commodity risk hedging strategies to mitigate financial risks in multiple currencies.
  • Work closely with senior management on financial planning, budgeting, and forecasting.
  • Develop and maintain banking relationships, including negotiating credit lines, loan agreements, and facility terms.
  • Provide strategic leadership for Treasury team development, ensuring a high-performing and efficient team.
  • Oversee the group's treasury technology and systems implementation to ensure processes are streamlined and up-to-date.
  • Regularly report on treasury performance to senior executives and the board, providing insights on liquidity, risk, and investment strategies.
  • Ensure compliance with all relevant financial regulations and internal controls across jurisdictions.

Requirements:

  • Proven experience (10+ years) in treasury management, with a strong understanding of multi-entity, international corporate finance.
  • Experience in managing complex cash flow forecasting, liquidity management, and financial risk strategies on a global scale.
  • Expertise in foreign exchange, interest rate, and commodity risk management.
  • Strong leadership capabilities, with experience in managing and mentoring teams in a dynamic, multi-national environment.
  • Solid understanding of international financial regulations and compliance requirements.
  • Advanced proficiency in treasury management systems and financial software.
  • Excellent communication skills, capable of engaging with senior stakeholders and external partners.

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By applying, a CV-Library account will be created for you. CV-Library's Terms & Conditions and Privacy Policy will apply.