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Treasurer

Nothing

City Of London

On-site

GBP 90,000 - 120,000

Full time

9 days ago

Job summary

A technology company in London is seeking a Treasurer to oversee cash management and financial risk. The ideal candidate has 10+ years in treasury, strong analytical skills, and proficiency in financial markets. This hands-on role involves managing banking relationships and ensuring compliance while driving strategic financial planning in an evolving international environment.

Qualifications

  • 10+ years of experience in treasury.
  • Strong understanding of financial markets, instruments, and risk management.
  • Experience with treasury systems and ERP integrations.

Responsibilities

  • Oversee daily cash positioning, forecasting, and liquidity planning.
  • Manage relationships with banks and financial institutions.
  • Implement treasury management systems and automation initiatives.
  • Partner with the CFO on cash flows and funding needs.
  • Ensure compliance with internal controls and external regulations.

Skills

Analytical skills
Communication
Stakeholder management
Risk management
Attention to detail

Education

ACT, CFA, CPA or ACA qualification

Tools

Treasury systems
ERP integrations
Job description
Role Overview

The Treasurer will take ownership of managing Nothing’s cash, liquidity, and financial risk across all regions. It’s a practical, hands-on role that sits at the centre of how the company funds itself and plans for growth.

We’re looking for someone who is comfortable meeting banks and partners around the world — someone who can represent Nothing with confidence, balance, and authenticity. You’ll be telling our story to people who matter, building trust over time, and knowing how to navigate different markets and cultures.

This role suits someone who’s comfortable working independently, knows what’s important, and follows through without needing much direction. The role involves a balance of travel, problem-solving, and relationship-building across multiple regions. It suits someone who stays calm under pressure and keeps perspective even when things get busy.

You’ll work closely with the CFO and the broader Finance team to strengthen how we manage our capital, structure our funding, and plan for the future, building a system that supports Nothing as it scales.

Key Responsibilities
  • Cash and Liquidity Management
    • Oversee daily cash positioning, forecasting, and liquidity planning.
    • Ensure adequate liquidity to meet operational and strategic requirements.
    • Manage intercompany funding and optimise internal cash flows including across international borders.
  • Banking and Funding
    • Manage relationships with banks and financial institutions (including working capital providers) in Europe, the USA, India and China.
    • Negotiate and maintain credit facilities, term loans, and revolving credit lines.
    • Support financing transactions, including debt issuance, refinancing, and covenant compliance.
    • Evaluate and recommend funding options to minimise cost of capital.
  • Treasury Operations
    • Maintain and enhance treasury policies, controls, and procedures.
    • Oversee bank account structures, signatories, and online banking platforms.
    • Implement treasury management systems (TMS) and automation initiatives.
    • Identify and manage exposure to interest rate, foreign exchange, and liquidity risks.
    • Implement appropriate hedging strategies and monitor hedge effectiveness.
    • Ensure compliance with financial risk policies and relevant accounting standards (e.g., IFRS 9).
  • Strategic Financial Planning
    • Partner with the CFO, FP&A and Tax to forecast cash flows and funding needs.
    • Advise senior management on treasury and capital market developments.
  • Governance and Compliance
    • Ensure compliance with internal controls, external regulations, and audit requirements.
    • Maintain treasury documentation, board reporting, and policy manuals.
    • Liaise with auditors, regulators, and rating agencies where applicable.
Qualifications and Experience
  • Professional qualification such as ACT, CFA, CPA, or ACA preferred.
  • 10+ years of experience in treasury.
  • Strong understanding of financial markets, instruments, and risk management.
  • Experience with treasury systems and ERP integrations.
Key Skills and Attributes
  • Strategic thinker with strong analytical and quantitative skills.
  • Excellent communication and stakeholder management abilities.
  • High level of integrity, accuracy, and attention to detail.
  • Proven ability to manage external partners and build a lean internal team.
  • Comfortable working in a fast-paced, evolving, international business environment.
  • Hardware industry experience is preferred but not mandatory.
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