A leading international organisation is seeking a highly experienced Deputy Treasurer to join its Group Finance team at its London Head Office. This is a senior leadership role supporting the Group Treasurer in managing treasury operations, strategic financial planning, and complex financing activities across a significant capital investment programme.
Key Responsibilities :
* Lead daily treasury operations including FX hedging, cash forecasting, and intercompany funding.
* Manage relationships with banks and financial institutions.
* Oversee treasury systems and ensure accurate reporting and compliance.
* Support capital markets activity including debt issuance and facility renewals.
* Deputise for the Group Treasurer in strategic and operational matters.
* Drive continuous improvement and change initiatives within the treasury function.
* Lead and develop a high-performing treasury operations team.
What They Are Looking For :
* AMCT/MCT qualified or qualified accountant.
* 10+ years of treasury or relevant financial experience.
* Strong leadership and stakeholder management skills.
* Expertise in FX exposure management, treasury systems (e.g. FIS Integrity), and SAP.
* Experience in capital markets, complex transactions, and project management.
* Strategic thinker with excellent analytical and communication skills.