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Group Treasurer - Exclusive

Competitive salary
 

Job Description

We are supporting a multinational organisation in their search for an experienced Group Treasurer. This pivotal role offers the opportunity to lead a global treasury function, overseeing liquidity management, financial risk, capital structure, and treasury operations.

The company is undergoing a transformative phase, and this position will play a critical role in shaping its financial strategy for the future.


As the Group Treasurer your Key Responsibilities include:
  • Liquidity Management: Oversee global cash flow and ensure efficient allocation of funds to meet the operational needs of the business
  • Risk Management: Identify and manage financial risks, including foreign exchange, interest rate, and credit risks, while implementing effective hedging strategies
  • Capital Structure & Corporate Finance: Lead the company’s financing strategy, including debt issuance, refinancing, and capital structure optimisation
  • Banking Relationships: Develop and maintain relationships with global financial institutions, ensuring access to key financial products and services
  • Treasury Operations: Ensure the efficient and compliant operation of the treasury function, leveraging technology to drive automation and process improvement
  • Leadership: Manage and develop a global team of treasury professionals, fostering a high-performance and collaborative culture
Experience and Qualifications:
  • Minimum of 10 years of experience in treasury or corporate finance, with at least 5 years in a senior leadership role within a complex, global organisation
  • Proven experience managing liquidity, capital structure, and financial risk on a global scale
  • Strong understanding of treasury management systems and financial instruments
  • Exceptional leadership and communication skills, with the ability to manage and develop high-performing teams across multiple locations
  • Professional qualifications such as CFA, ACT, or equivalent are highly desirable
  • Fluency in English is required

The Ideal Candidate: You are a strategic thinker with a deep understanding of treasury operations and financial markets. You have a proven track record of successfully managing complex financial challenges in a dynamic, international environment. You are adaptable, resilient, and have a strong focus on delivering value while maintaining the highest standards of compliance and governance.

EMEA Recruitment is committed to promoting Equity, Diversity and Inclusion in the workplace. We act as a neutral third party in the recruitment process, basing our candidate searches on skills and experience. We do not discriminate on the basis of age, gender, sex, relationship status, disability, race, religion/beliefs, or sexual orientation.