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An established industry player is seeking a Head of Treasury to lead strategic initiatives and manage a robust Treasury function. This pivotal role involves shaping the evolution of Treasury operations, overseeing debt funding and liquidity management, and enhancing the group's financial resilience. The ideal candidate will possess proven leadership experience and a strategic mindset to drive change in a fast-paced environment. Join this ambitious organization to grow your career and make a significant impact in a collaborative setting, where your expertise will be valued and rewarded.
We're Hiring: Head of Treasury
About Markerstudy Insurance Group
Markerstudy Insurance Group is one of the UK’s leading insurance providers, renowned for innovation, growth, and a people-first approach. With a diverse portfolio of brands and products, we’re committed to delivering outstanding service and creating value for our customers and partners. Join us and be part of an ambitious, forward-thinking business where your skills will make a real impact.
Location: London (Hybrid)
Reporting to: Director of Treasury
As Head of Treasury, you will take on a pivotal role in a dynamic and complex group structure. You’ll work alongside the Director of Treasury to deliver strategic, high-impact initiatives while also managing a robust, efficient, and well-governed Treasury function.
This is a unique opportunity to lead change, build capability, and influence at the highest level across a growing, entrepreneurial business.
Strategic Leadership
Shape the evolution of a modern, agile Treasury function.
Lead delivery of strategic projects such as debt structuring, investment strategy, IT infrastructure, and cash optimisation.
Enhance Treasury’s ability to support group-wide objectives with efficiency and resilience.
Day-to-Day Excellence
Manage debt funding facilities and legal compliance.
Lead liquidity forecasting and short to medium-term planning.
Oversee market risk, hedging strategies, and reporting.
Direct the group investment portfolio with a focus on credit risk, return, and liquidity.
Maintain strong external relationships with banks, advisors, and legal partners.
Oversee the Group Intercompany Framework.
Champion robust Treasury policies, procedures, and controls.
Lead and develop a high-performing Treasury team.
We’re looking for a Treasury professional with:
Proven leadership experience in corporate treasury within a large, complex group
Deep technical knowledge of debt facilities, market risk, investment strategy, and liquidity management.
A strategic mindset combined with operational excellence.
A track record of driving change and improving processes.
Strong stakeholder management skills, with the ability to engage confidently on technical matters at senior levels.
The ambition and capability to grow with a fast-paced business