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Head of Treasury, Leading Global Family Office - Middle East based role, London
Client:
Location: London, United Kingdom
Job Category: Other
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EU work permit required: Yes
Job Views:
1
Posted:
31.05.2025
Expiry Date:
15.07.2025
Job Description:
Background:
Our client, a leading global single Family Office with a multi-asset investment strategy in the Middle East, is expanding its presence in the GCC to enhance its investment capabilities. With a diverse international portfolio spanning real estate, luxury, energy, and both private and public equities, they are actively seeking top-tier talent to join their growing team in the region.
Reporting to the Group Chief Financial Officer (CFO), you will support the build-out of their treasury function as part of broader investment in their finance management. The Treasury function manages the groups cash, operational banking relationships, and debt. You will work closely with investment teams to identify and manage financial risks, including interest rate, foreign exchange, and credit risks.
Responsibilities:
* Develop, document, and manage Treasury policies covering cash & banking, cash management, cash flow forecasting, intercompany funding, debt management, and FX/interest rate risks.
* Collaborate with senior and investment leadership to define and implement Treasury’s long-term vision and strategy.
* Lead and develop the Treasury team.
* Implement new Treasury policies, procedures, processes, and systems.
* Design and execute central cash visibility, cash pooling, and management processes.
* Establish liquidity planning through optimized cash flow forecasting and reporting.
* Support raising new debt and capital transactions, and manage existing debt portfolios.
* Review and suggest changes to group capital structure.
* Develop efficient intercompany funding processes, working with finance, tax, and investment teams.
* Assist investment teams in managing FX and interest rate risks, including data provision, breach management, and compliance with risk policies.
Qualifications:
* At least 10 years of experience in cash management, financial risk management, and treasury infrastructure development.
* A degree in Finance, Business, or related field, with strong accounting or Treasury qualifications.
* Comprehensive exposure to treasury areas including risk management, cash management, international debt and equity markets, and corporate finance.
* Excellent interpersonal skills, capable of engaging at all organizational levels and driving change.
* Experience in the Investment Management industry is preferred.
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