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A global commerce firm based in London is seeking a Head of Treasury to manage treasury operations across multiple entities and currencies. This leadership role requires 10+ years of treasury experience and strong knowledge in financial risk management. Benefits include competitive compensation, healthcare coverage, and hybrid working arrangements. The position involves strategic oversight of liquidity and cash flow across a complex structure.
At Reach, we’re redefining how businesses go global. As a Merchant of Record operating in 200+ markets, we simplify cross-border commerce for merchants and partners worldwide.
We’re seeking an experienced Head of Treasury to lead our global treasury operations across a complex, multi-entity structure. This role is central to managing liquidity, optimizing cash flow, and mitigating financial risk across 70+ bank accounts and 15 currencies to support Reach’s continued international growth.
Reporting to the CFO, you’ll shape and execute our global treasury strategy, balancing stability with innovation. You’ll oversee liquidity management, foreign exchange exposure, payment settlements, and working capital efficiency across multiple entities and regions. This is a high-impact leadership role that combines hands-on execution with strategic vision.
We believe that high-performing teams all have common values and synergies that enable them to work well together. Some of our Core Values are:
This role may involve occasional international travel. Candidates must be eligible to work in the UK. Due to the financial nature of our business, enhanced background checks will be conducted.
Apply with your CV and a brief cover letter highlighting your treasury leadership experience and motivation to join Reach.