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Head of Treasury and Cash Management

LSL GROUP

City Of London

Hybrid

GBP 80,000 - 120,000

Full time

6 days ago
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Job summary

A leading financial services firm in the UK is seeking a Head of Treasury and Cash Management to lead the transformation of their treasury function. This strategic role requires strong leadership in liquidity management and banking relationships. The ideal candidate will drive digital transformation and collaborate closely with the CFO and Group Board. A hybrid working model is available, offering a balance of office collaboration and remote work.

Benefits

Career Growth
Hybrid Flexibility
Inclusive Culture

Qualifications

  • Extensive experience in treasury management within a group/divisional structure.
  • Ability to manage external stakeholders like banks and auditors.
  • Experience in driving cash management and treasury transformation.

Responsibilities

  • Oversee Group liquidity and cash flow forecasting.
  • Lead and strengthen banking relationships.
  • Drive treasury's digital transformation through automation.

Skills

Proven senior treasury experience
Strong liquidity management expertise
Strategic mindset
Strong communication skills
Job description
Job Locations

UK-Newcastle Upon Tyne

Job Profile

LSL plc is a leading provider of financial services, surveying and valuation, and estate agency franchising services. We are currently looking to recruit a Head of Treasury and Cash Management to lead the transformation of our treasury function. Based within our Group Finance team in our brand new offices in Newcastle, we seek a senior leader who will take ownership of liquidity strategy, banking relationships, cash management, and treasury transformation - ensuring the function becomes a forward-looking, strategic driver of growth.

As Head of Treasury and Cash Management, key duties and responsibilities will include:
  • Oversee Group liquidity and cash flow forecasting, ensuring accuracy and alignment with strategic goals.
  • Lead and strengthen banking relationships, negotiating competitive terms and driving partnerships.
  • Manage loan agreements, covenant reporting, KYC, and compliance.
  • Drive treasury's digital transformation through automation and system improvements.
  • Monitor cash conversion cycles and partner with Divisional Finance teams to optimise working capital.
  • Evaluate hedging requirements, manage interest rate exposure, and minimise P&L volatility.
  • Support capital allocation, investment appraisals, and tax compliance processes.
  • Report to CFO, Group Financial Controller, and the LSL Group Board on treasury performance.
What we're looking for:
  • Proven senior treasury experience with strong liquidity management expertise.
  • Experience working in a Group/divisional structure.
  • Confident managing external stakeholders (banks, auditors, advisers).
  • Strategic mindset - not just execution but delivering real business value.
  • Strong communicator and collaborator, able to work across finance and non-finance teams.
What's in it for you
  • Impact & Influence - Work closely with the CFO and Group Board to shape treasury's future.
  • Strategic Leadership - Drive transformation and build a modern, forward-looking function.
  • Career Growth - Exposure to a multi-division Group and complex funding structures.
  • Innovation - Lead digitalisation and automation of treasury processes.
  • Hybrid Flexibility - Balance office collaboration with remote working.
  • Inclusive Culture - We're an equal opportunities employer, committed to diversity and inclusion.
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