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Head of group treasury

Slough
Creditinfo Group
Posted: 13 June
Offer description

Head of Group Treasury (Group & Markets)

London, or within easy commute

12-month contract

Competitive package - details available on application



About Creditinfo



Creditinfo is a leading service provider for credit information and risk management solutions worldwide. Having implemented credit bureaus in more than 30 countries, in 4 continents, we have proven that our strength lies in establishing credit bureaus in emerging credit markets and hosting, managing and providing credit and credit related data to customers. Our headquarters are in London, United Kingdom, employing around 400 people worldwide. We have further ambitious plans to become a leading information systems company, providing exceptional support to our clients regionally and globally.



For more information visit www.creditinfo.com


Summary of role


We are seeking an experienced Head of Group Treasury to take ownership and transform our cash, liquidity, transfer pricing and treasury operations across a multi-country, multi-currency environment.

This is a critical role at the centre of our Group Finance function, driving strategic cash flow planning, managing FX risk, and ensuring treasury controls are robust, scalable, and fit for purpose as we grow. The role reports to the Group CFO.


Key responsibilities:



1. Cash & Liquidity Management



* Own and manage the Group-wide cash flow forecast across all entities
* Provide proactive insights on liquidity needs to support operational and strategic goals
* Maintain sufficient liquidity across markets with constrained banking infrastructure or repatriation complexity



2. Treasury Operations


* Manage day-to-day treasury operations: bank accounts, cash positioning, funding flows, and reconciliations
* Lead treasury policies and processes across the Group, bringing consistency while remaining responsive to local nuances
* Coordinate intercompany funding and ensure effective utilisation of trapped cash



3. FX and Risk Management

* Identify Group-wide currency exposures and lead the development of mitigation strategies
* Provide insights to Group Finance and leadership on foreign exchange impacts and risks
* Work with local teams to optimise FX flows and manage compliance with local rules



5. Banking & Regulatory


* Serve as the key relationship owner for our global and in-country banking partners
* Navigate and advise on treasury-related regulatory matters in high-risk or restricted markets, especially in East and West Africa.
* Understands transfer pricing principles and develops Group strategy in this matter
* Supports the development of transfer pricing documentation across the Group
* Support entity setup, restructuring, or closure with treasury readiness



6. Strategic Projects and Systemisation



* Partner with Tech and Finance to digitise treasury operations and reporting
* Support M&A, expansion, and restructuring activity from a cash and banking perspective
* Drive automation of treasury reporting and digitisation of manual cash processes


Experience & Requirements


* 10+ years’ treasury experience, ideally across Group or regional treasury roles
* Hands-on experience managing treasury in African markets, particularly East and West Africa
* Deep knowledge of cross-border cash management, FX risk, and emerging market regulatory dynamics
* Strong experience in multi-currency environments and intercompany funding
* Exposure to treasury systems and financial ERPs (e.g., Kyriba, NetSuite, SAP)


Desirable


* Experience in a high-growth, multi-entity, or fintech business
* Ability to work across time zones and cultures — and influence remotely
* Experience building or formalising treasury processes from the ground up


Key Capabilities & Skills


* Strong commercial acumen – understands treasury’s role in business decision-making
* Resilient under pressure – comfortable with ambiguity, risk, and tight liquidity timelines
* High integrity – upholds strong controls and operates with sound judgement
* Communication – explains technical topics clearly to non-finance stakeholders
* Cross-cultural agility – thrives in a decentralised, fast-evolving international business





To apply, or find out more contact our exclusively retained recruitment partner:

Andrew Pickard – Managing Director - PPF International

Email ap@ppfinternational.com

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