A brand new, exclusive Treasury Director Mandate based in London
A broad and exciting role, looking after Group Treasury across Europe
About Our Client
Having seen a number of years' of growth and success, our client is a leading private equity backed business services organisation with a diverse client base across Europe. They have grown in the last few years from a combination of organic and inorganic growth and are in a strong and stable position.
Job Description
Lead the Treasury Department across Europe from London
Manage the company's debt and financing initiatives
Responsible for all operations including cash and liquidity management, as well as implementing cash pooling solutions
Prepare financial forecasts and reports
Manage relationships with banks and other financial institutions, of which there are 10 key partners
Manage working capital requirements
Maintain risk management frameworks, including hedging programs
Be part of project-based work to continue the growth of the business, including M&A
Collaborate with other departments across Europe including Tax, Legal, and Core Finance
Supervise and mentor treasury staff around Europe
The Successful Applicant
A successful Treasury Director should have:
A strong background in Treasury
Experience in a private equity or LBO environment would be helpful
Excellent treasury operations skill set required, including cash management, TMS, and debt management
Strong communication and teamwork skills
Ability to lead and motivate a team
French would be a helpful skill set for the role, though not essential
What's on Offer
A competitive basic salary
A generous bonus scheme
An opportunity to lead a dynamic team across Europe in the business services industry
Based in London and offering hybrid working
If you are a Deputy Group Treasurer looking for your first role in a number one position, or an established Head of Treasury looking for a broader or more varied role, please do get in touch about this Treasury Director role.