1. Excellent, varied role in a European business services group
2. Brilliant exposure to debt management and operations
About Our Client
Our client are a business services and consultancy group with a foot print across Europe, who have contracts with both public and private sector customers. They are PE backed and have experienced promising growth in the last two years which has led them to create a new Head of Treasury role to take over the reigns from an experienced interim.
Job Description
The Head of Treasury will be responsible for;* Managing their debt structure, and preparing for a re-financing in 2028* Managing a team of treasury professionals across Europe * Implementing stronger processes and automation in their operations* Looking at and designing cash pools to sweep up cash across th Eurozone * Look at ways to make processes more streamlined and efficient * Work closely with the head of FP&A, Treasury and Corporate finance and the CFO* Build relationships and implement best practice with the other overseas entities * Create a risk framework for treasury activities
The Successful Applicant
The successful Head of Treasury will have* Experience in a corporate treasury function, ideally P backed though not compulsory * Experience in managing debt and going to markets * Be happy to explore and implement proactive cash management solutions * Must bring energy and willingness to resolve problems to the role* Must be able to work with people in different cultures and departments
What's on Offer
A competitive basic salary is on office.The company operates a hybrid working model out of their London office which is typically 2 days a week in the office