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Head of Treasury - VR/31787

Thorpe Molloy McCulloch Recruitment Ltd

Aberdeen City

Hybrid

GBP 85,000 - 120,000

Full time

22 days ago

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Job summary

A leading recruitment firm is seeking an experienced Head of Treasury for an energy upstream business in Aberdeen. This critical role involves managing Group Treasury and Accounts Payable functions. The ideal candidate will be a qualified accountant with substantial treasury experience, ideally from the energy sector, and have expertise in commodity price hedging. This 12-month contract offers hybrid working and requires robust analytical and stakeholder management skills.

Benefits

Exposure to senior stakeholders
Opportunity to shape treasury processes
Flexible working environment

Qualifications

  • Qualified Accountant with significant treasury experience.
  • Experience in a large, multinational corporate environment.
  • Proficient in SAP and a Treasury Management System.

Responsibilities

  • Lead and manage Group Treasury operations and Accounts Payable Teams.
  • Oversee daily liquidity management.
  • Ensure timely and accurate vendor payments.
  • Identify and manage FX and commodity price risks.
  • Develop and execute the Group’s treasury policies.

Skills

Qualified Accountant (e.g., ACA, ACCA, CIMA)
Significant treasury experience
Hands-on experience with commodity price hedging strategies
Strong analytical skills
Stakeholder management capability

Tools

SAP
Treasury Management System (TMS)
Job description

TMM is delighted to be partnering with an energy upstream business who are looking for an experienced Head of Treasury to lead their Group Treasury and Accounts Payable functions on an initial 12-month contract with the option to extend. Reporting directly to the CFO, you will play a critical role in ensuring effective liquidity management, timely vendor payments, and proactive identification and mitigation of FX and commodity risks.

Key Responsibilities
  • Leading and managing Group Treasury operations and Accounts Payable Teams.
  • Overseeing daily liquidity management to ensure efficient use of cash resources across the Group.
  • Ensuring timely and accurate payments to vendors.
  • Identifying, monitoring, and managing FX and commodity price risks.
  • Developing, enhancing, and executing the Group’s treasury policies and controls.
  • Driving continuous improvement across treasury processes and systems.
  • Partnering closely with Finance, Procurement, and business units to support commercial decision-making.
About You
  • Qualified Accountant (e.g., ACA, ACCA, CIMA) with significant, relevant treasury experience.
  • Background in a large, multinational corporate, ideally within the energy sector.
  • Hands‑on experience with commodity price hedging strategies.
  • Proficient in SAP and experienced with a Treasury Management System (TMS).
  • Strong analytical skills, stakeholder management capability, and ability to operate in a fast‑paced environment.
What We Offer
  • A key leadership role with exposure to senior stakeholders.
  • Opportunity to shape treasury processes within a complex, global organisation.
  • Hybrid working environment with flexibility.

If you’re an experienced treasury professional looking for a high‑impact role within the energy sector, please contact Amanda McCulloch on 01224 327016 or at amcculloch@tmmrecruitment.com

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