Head of Treasury

Brewer Morris

Greater London

On-site

GBP 120,000 - 170,000

Full time

3 days ago
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Job summary

Brewer Morris is seeking a Head of Treasury to lead day-to-day treasury across international operations, building the function, infrastructure and controls as the business grows. The role requires hands-on ownership of core treasury operations with strategic oversight.

The ideal candidate will have strong technical treasury expertise in cash management, liquidity, banking and FX, plus pragmatic execution, stakeholder management and the ability to operate at both strategic and operational levels.

Qualifications

  • Strong technical treasury expertise across cash management, liquidity and FX.
  • Hands-on, execution-focused with a pragmatic approach.
  • Ability to operate at strategic and detailed levels.
  • Excellent stakeholder management and communication skills.
  • Thrive in a fast-paced investment or family office environment.
  • Sound commercial judgement and adaptability in a growing organisation.

Responsibilities

  • Manage cash management, liquidity forecasting, banking and treasury operations.
  • Oversee daily cash positions and ensure liquidity across the group.
  • Manage payments, cash movements and banking relationships.
  • Execute and oversee foreign exchange transactions and settlements.
  • Facilitate internal funding arrangements and capital movements across international entities.
  • Support treasury-related investment activity, including capital calls and debt servicing.
  • Maintain accurate treasury and investment records, data and reporting.
  • Produce timely treasury, cash and liquidity reporting for senior management.
  • Drive treasury process improvements and operational efficiencies.
  • Lead the implementation of a Treasury Management System.
  • Enhance treasury policies, procedures, governance and controls.
  • Ensure compliance with regulatory, audit, AML and KYC requirements.
  • Act as a key point of contact for banks, fund administrators and other counterparties.
  • Partner with Finance, Investments and senior leadership across the organisation.
  • Manage and develop a team of two treasury professionals.

Job description

Head of Treasury

The Head of Treasury will be responsible for the day-to-day management, oversight and execution of the Group’s treasury activities across its international operations. This is a highly hands-on position requiring an individual who can take ownership of core treasury operations while also helping to build and strengthen the Group’s treasury function, infrastructure and controls as the business continues to grow.

The business is a highly successful private investment group. Experience in financial services is essential, but more specifically experience in private wealth, private equity, investment management, or in a family office would be desirable.

Key responsibilities include:
  • Managing the Group’s cash management, liquidity, forecasting, banking and treasury operations.
  • Overseeing daily cash positions and ensuring appropriate liquidity is maintained across the business.
  • Managing payments, cash movements and banking relationships.
  • Executing and overseeing foreign exchange transactions and settlements.
  • Facilitating internal funding arrangements and capital movements across international entities.
  • Supporting treasury-related investment activity, including capital calls, debt servicing and transactional funding requirements.
  • Maintaining accurate treasury and investment records, data and reporting.
  • Producing timely treasury, cash and liquidity reporting for senior management.
  • Driving treasury process improvements and operational efficiencies.
  • Leading the implementation of a Treasury Management System.
  • Enhancing treasury policies, procedures, governance and controls.
  • Ensuring compliance with regulatory, audit, AML and KYC requirements.
  • Acting as a key point of contact for banks, fund administrators and other financial counterparties.
  • Partnering closely with Finance, Investments and senior leadership across the organisation.
  • Managing and developing a team of two treasury professionals.

The role reports directly to the Managing Partner.

We are seeking an experienced treasury professional who is currently operating at Senior Treasury Manager level or who is ready to step into a Head of Treasury position. The ideal candidate will:
  • Possess strong technical treasury expertise across cash management, liquidity, banking and FX.
  • Have a pragmatic, hands-on and execution-focused approach.
  • Be comfortable operating both strategically and at a detailed operational level.
  • Demonstrate strong stakeholder management and communication skills.
  • Thrive in a fast-paced, entrepreneurial investment or family office environment.
  • Have sound commercial judgement and the ability to adapt in a growing organisation.

This is an excellent opportunity for someone looking to play a key role in the continued development of a growing organisation, with significant visibility across the business and long-term career progression potential.

Please note our advertisements use PQE/salary levels purely as a guide. However, we are happy to consider applications from all candidates who are able to demonstrate the skills necessary to fulfil the role.

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