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A high-growth family office is seeking a commercially minded Head of Treasury in London. This hands-on role includes managing treasury operations, optimizing liquidity, and enhancing treasury systems. The ideal candidate will possess extensive experience and a strong analytical background to drive the group's financial performance.
Head of Treasury
Employer Location England, City of London, London Salary - per annum + £140,000 - £180,000 Closing date 10 Jul 2025 View more categoriesView less categories Sector Salary band , Contract type Hours Where will they be working You need to or to save a job.Job Details
Your new companyWe are working with a high-growth family office seeking an experienced and commercially minded Head of Treasury to join the team. There are significant assets and a portfolio of privately held businesses across a diverse range of sectors. With a robust balance sheet and responsibility for managing a large, complex debt structure alongside a substantial investment portfolio, the Treasury function plays a pivotal role in the group's financial performance. You will be joining a stable, globally active business with a growing and diversified portfolio.
Your new roleThis is a hands-on role with day-to-day responsibility for treasury operations across the group. Core areas of focus include daily cash management, liquidity forecasting, optimising bank balances, managing FX exposures, monitoring investments, and supporting high-value transactions. You will also take ownership of modernising treasury processes, strengthening internal controls, and enhancing treasury systems.
Treasury Operations and Cash Management
Manage daily treasury operations, including cash positioning, liquidity forecasting, and execution of payments and financial transactions, with precision, efficiency, and appropriate controls.
Optimise cash flow, payment schedules, and funding strategies, ensuring group liquidity requirements are maintained.
Optimise bank deposits and near-term liquidity returns. Treasury Forecasting and Risk
Lead and refine the cash flow forecasting process, incorporating major financial movements such as acquisitions, divestments, and debt transactions.
Manage FX exposures and support execution of hedging strategies where appropriate.
Monitor treasury-related financial risks and develop real-time KPIs and dashboards to track performance and identify emerging issues early.
Banking and External Relationships
Maintain and develop strong relationships with banks, other financial institutions, and external auditors. Coordinate with banking partners on account management, transaction execution, and KYC/AML compliance.
Maintain a database of all bank accounts and facilitate banking communications (, account openings/closures, KYC compliance, and other regulatory reporting). Systems, Controls and Process Improvement
Evaluate existing treasury processes and drive continuous improvement, including opportunities for automation and potential implementation of a TMS.
Design, implement, and maintain robust internal controls to safeguard assets, prevent fraud, ensure regulatory compliance, and maintain operational integrity.
Stay informed of regulatory, tax, and accounting changes, adjusting treasury practices accordingly.
Provide guidance and support to international entities on treasury process design, implementation, and optimisation.
Collaborate with internal stakeholders to ensure treasury activities are aligned with broader business objectives and operational needs.
Financial Analysis and Reporting
Prepare treasury reports, analysis, and strategic commentary for senior stakeholders.
Analyse treasury and financial data to identify trends, risks, and opportunities that inform sound treasury decision-making.
Reconcile monthly interest income and ensure accuracy in received interest payments.
Maintain and update FX exposure forecasts, hedge positions, and cover strategies.
Develop high-quality presentation materials for senior management and external stakeholders.
Additional Responsibilities
Support ad hoc projects and initiatives as required.
What you'll need to succeed
The ideal candidate will have a strong commercial mindset and hands-on experience in the corporate treasury. A proven track record of managing complex treasury operations, optimising cash and liquidity, overseeing FX exposures, and implementing robust control frameworks will be essential for success in this role.
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Created on 25/06/2025 by TN United Kingdom