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Head of treasury (3-6 months)

Slough
JR United Kingdom
Head of treasury
€150,000 - €200,000 a year
Posted: 7 June
Offer description

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* Lead the preparation, consolidation, and analysis of short-, medium-, and long-term cash flow forecasts across all group entities.
* Partner with FP&A, finance, and business units to ensure accurate cash visibility and alignment with business needs.
* Identify and address cash flow risks or shortfalls early, ensuring sufficient liquidity at all times.

Cash Management & Liquidity Optimization

* Oversee daily cash management, funding, and intercompany movements.
* Optimize the use of group cash through effective deployment, including investment of surplus funds or reduction of external debt.
* Manage relationships with key banking partners, ensuring competitive terms, products, and services.

International Cash Pooling

* Implement and manage multi-currency, cross-border cash pooling arrangements to maximize liquidity utilization.
* Ensure optimal set-up of notional or physical cash pools across the group, minimizing idle cash and external borrowings.
* Monitor the group’s FX exposure and implement hedging strategies where appropriate.
* Develop and maintain FX policies, procedures, and controls.
* Advise leadership on currency risks and mitigation strategies.

Treasury Operations & Governance

* Develop and maintain robust treasury policies, controls, and reporting frameworks.
* Ensure compliance with internal governance, external regulations, and best practices.
* Lead the treasury system selection, implementation, and continuous improvement.

Stakeholder Management

* Collaborate with finance teams, tax, legal, and operational stakeholders to support strategic initiatives, acquisitions, and restructurings.
* Report regularly to senior management on cash position, forecasts, risks, and opportunities.

Key Requirements

Qualifications

* Degree in Finance, Accounting, Economics, or a related field.
* Professional treasury qualification (ACT, CTP) highly desirable.

Experience

* Minimum 7+ years of treasury experience in an international, multi-entity organization.
* Proven track record of managing cash flow forecasting, cash management, and international cash pooling at group level.
* Strong experience managing FX exposure and risk.
* Leadership experience overseeing teams and managing treasury operations for 50+ legal entities.

Skills & Attributes

* Advanced understanding of treasury systems, cash management tools, and banking platforms.
* Strong analytical and problem-solving skills, with a proactive and strategic mindset.
* Excellent communication and stakeholder management abilities.
* High attention to detail, with strong governance and compliance focus.

This role is paying £500-700 per day, offers hybrid working and is a 3-6 months interim role with potential of going permanent.

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