Job Description
Oversee treasury operations for a multinational organisation, with responsibility for liquidity, global banking relationships, FX exposure, and payment controls. Lead accurate reporting, covenant monitoring, and the management of complex financial instruments, while managing and developing a small international treasury team and supporting the rollout of the EMBAT TMS.
Client Details
Our client is a privately held, multinational business with operations across multiple international markets. The group operates a complex global structure supporting branded products and long-term growth.
Description
- Lead global treasury operations across a multinational group, covering banking structures, liquidity management, daily cash positioning, inter-company funding, and cash pooling.
- Manage foreign exchange risk, including exposure monitoring, hedge execution, and hedge effectiveness reporting.
- Oversee payment governance, approving high-value transactions across multiple jurisdictions and ensuring strong internal controls.
- Provide oversight of credit control and receivables processes, supporting collections performance and credit risk assessment.
- Deliver high-quality cash flow forecasting, treasury and receivables reporting, KPI tracking, and variance analysis for senior stakeholders.
- Manage loans, covenants, and complex financial instruments, including lender reporting, valuations, and accounting compliance.
- Act as treasury lead for the implementation and ongoing optimisation of the EMBAT Treasury Management System.
- Lead, develop, and coordinate a small international treasury team, ensuring consistent processes, strong controls, and effective collaboration.
Profile
A successful Group Treasury Manager should have:
- Education: Degree in Finance, Accounting, or Economics; professional qualifications such as ACT, CFA, or ACA preferred.
- Experience: Minimum 5 years' corporate treasury experience within a multinational environment, with hands-on exposure to FX hedging, derivatives, covenant reporting, and Treasury Management System (TMS) implementation.
- Technical Skills: Advanced Excel and financial modelling capabilities; experience with EMBAT or similar TMS platforms and Microsoft Dynamics F&O ERP.
- Operational Skills: High attention to detail, strong deadline management, and the ability to manage multiple priorities across different time zones.
Job Offer
- Competitive salary ranging from £90,000- £95,000.
- Hybrid working environment based in Central London
- Annual bonus incentive of 20%
- Full Extended Health coverage
- Pension scheme of 5%
If you are an experienced Treasury professional, this is an excellent opportunity to take the next step in your career as a Group Treasury Manager in London. Apply now to join a leading organisation in the energy & natural resources industry!