A large organisation within the property sector is currently seeking a permanent Head of Treasury to play a strategic leadership role in managing and delivering the treasury strategy of the Group. Based in central London, you would report to the Director of Treasury & Corporate Finance (DT&CF) and require close collaboration across key financial functions. While managing a small team you will oversee funding, compliance, financial risk management, investor relations, and stakeholder management, ensuring alignment with the Group’s overall strategy. They offer a generous hybrid policy of 1 day minimum office attendance per week although you would be meeting banks and rating agencies from time to time. Key Responsibilities Manage and lead the £6 billion funding portfolio, including £3bn bank funding and £3bn EMTN programme. Support capital sourcing to fund the Group’s ongoing activities. Ensure compliance with borrowing facilities and agreements, delivering high-quality reporting for business decision-making. Develop project funding structures for major investments in collaboration with Development Finance. Provide strategic advice on capital structure, corporate finance, and liquidity management. Lead the Group’s credit rating strategy, managing relationships with rating agencies. Drive interest rate risk management, overseeing the £1bn derivative portfolio. Manage investor relations, serving as the key liaison for banks, bond investors, and credit rating agencies. Design and implement the treasury systems strategy, ensuring efficiency and best practices. Oversee sustainability/ESG strategy within the treasury function. Lead and develop the Treasury team, ensuring risk is managed effectively. Act as a capable deputy for the DT&CF when required. Provide technical expertise on treasury matters, maintaining in-depth knowledge of financial developments. Experience & Qualifications Required Essential Experience: AMCT-qualified treasurer with substantial experience in complex treasury functions. Strong leadership experience, managing large debt portfolios and corporate funding. Extensive experience in corporate finance, funding instruments, banking, and bond investor relations. Proven track record in strategy development, implementation, and proactive treasury management. Strong ability to build and manage relationships with executives, governance committees, and financial stakeholders. Excellent communication and negotiation skills, with commercial acumen to drive financial success. Problem-solving and conflict resolution expertise, with the ability to challenge directives impacting financial performance. Desirable: Experience in global financial markets, sustainability financing, and ESG treasury strategies. Strong working knowledge of regulatory requirements, financial frameworks, and risk management. The Package A competitive salary £110,000 - £125,000 p.a. Car allowance - £5,000 5% annual bonus 25 day annual leave bank holidays (which increases to a maximum of 33 days through tenure) Generous family leave package 5 days life events leave p.a. If you have the right skills and experience and would like to explore this role further, apply now and we’ll be in touch.