Job Description
A newly created, strategic UK role leading multi-region treasury and corporate finance activity across the UK, US and Europe. You'll shape financial risk and funding strategy for a rapidly expanding multinational with a multi-billion-pound debt programme.
Client Details
Our client is part of a major global industrial group with a strong international footprint. As the business expands, the UK Treasury function is strengthening its corporate finance and FX capabilities. This newly created role offers the chance to work in a fast-moving, multinational, matrix-driven environment with direct exposure to global stakeholders and decision-makers.
Description
- Lead the UK's financial risk agenda, managing FX, interest rate, commodity and counterparty exposures.
- Execute smart, commercially focused hedging strategies, providing clear insights to senior leadership.
- Deliver high-quality exposure analysis, including sensitivities and scenario modelling.
- Monitor and optimise hedge performance, ensuring derivatives remain effective and value-adding.
- Track market movements and advise on risks, opportunities and potential business impacts.
- Oversee UK negotiation of ISDA/CSA and commodity trading agreements with global support.
- Drive corporate finance activity, including investment evaluations, financing alternatives and capital structure support.
- Manage intercompany funding and covenant compliance, ensuring alignment with Group standards.
- Support regional funding, including loans, RCFs, guarantees and trade finance.
- Strengthen UK banking relationships, securing competitive, well-structured terms.
- Ensure strong governance and clear reporting, elevating visibility of risks and performance.
- Champion continuous improvement across UK treasury processes and systems.
- Lead and develop a team of two, building capability and a collaborative, high-performance culture.
Profile
- Bachelor's degree in Business, Finance, Economics, or related field
- 10+ years' experience in corporate finance, treasury, and structured financial instruments
- Strong expertise across FX, interest rate and commodity risk, derivative products, and hedging
- Experience within an international, multicultural matrix organisation
- Confident communicator with banks, legal teams, financial advisors, and regulators
- Strong MS Excel capability; SAP familiarity beneficial
- Analytical, detail-driven, problem-solving mindset
- Fluent English, written and verbal
- Experience with ISDA/CSA agreements advantageous
- You will need a British citizenship or valid UK work permit for this role as no sponsorship is available
Job Offer
A newly created, high-impact role with regional responsibility across the UK, US and Europe, offering exceptional visibility with senior leadership. You'll help shape treasury and corporate finance strategy for a fast-growing multinational with a multi-billion-pound debt programme
- £80k - £103k base salary
- Up to 30% annual incentive bonus
- 20 days annual leave + bank holidays
- Company car or £550 net monthly allowance
- £25/day meal allowance (net)
- Pension plan: employer 3% & employee 5% minimum contributions
- Private health insurance
- Life insurance
- Hybrid working in a collaborative, international environment
- Line management of two team members, with the opportunity to build capability as the UK function grows