At a Glance
- Tasks: Lead treasury strategy, funding, and financial risk management for a global corporate group.
- Company: Join a dynamic international corporate group with a strong market presence.
- Benefits: High visibility with senior leadership and opportunities for strategic influence.
- Why this job: Shape the future of treasury in a growing, multi-brand environment.
- Qualifications: Qualified accountant or equivalent with extensive corporate treasury experience.
- Other info: Be part of a team that values strategic development and leadership.
The predicted salary is between 43200 - 72000 £ per year.
This is a high-profile Group Treasurer role for an international corporate group, owning treasury strategy, funding, capital structure, liquidity and financial risk management with direct exposure to the CFO, CEO and Board. The role combines leadership of a Group treasury function with hands-on responsibility for financing, capital markets activity and M&A support in a complex, multi-entity environment.
My client is a sizeable, internationally operating corporate group with a diversified business model and a long-established market presence. The Group operates across multiple geographies through a portfolio of operating businesses and has a proven track record of growth, investment and strategic development. Treasury is positioned as a strategic, value-adding function within the Group, with direct exposure to the CFO, CEO and senior leadership team.
This role has full ownership of the Group's treasury strategy, funding, financial risk management and capital structure. It acts as the central authority on all financing and treasury matters, supporting both ongoing business operations and M&A activity. It combines strategic leadership, capital markets activity, senior stakeholder management and team leadership.
Key Responsibilities- Strategy & Leadership
- Develop, own and deliver the Group's treasury strategy and annual financing plan.
- Lead, coach and develop the Group Treasury team.
- Act as a senior advisor to the CFO and Executive team on treasury, funding and financial risk matters.
- Own the Group Treasury budget.
- Funding, Capital Structure & Markets
- Lead all funding and capital markets activity, including development of banking and capital markets relationships.
- Manage and optimise the Group's capital structure in line with financing and tax objectives.
- Arrange and manage core debt facilities and approve group guarantee-backed financing transactions.
- Initiate and execute structured and project financing solutions where appropriate.
- M&A and Corporate Activity
- Lead treasury input into M&A, refinancings and other strategic corporate transactions.
- Structure and project manage financing solutions supporting acquisitions and strategic initiatives.
- Risk Management & Liquidity
- Own the Group's financial risk management framework within Board-approved policies (FX, interest rate, counterparty risk).
- Manage Group liquidity, surplus cash and short-term investments.
- Stakeholder Management
- Be the senior relationship owner for banks, lenders and capital markets counterparties.
- Communicate the Group's financing strategy clearly to external stakeholders and internal leadership.
- Systems, Controls & Governance
- Own and develop the Group's treasury systems landscape.
- Ensure strong controls, policies, procedures and business continuity arrangements are in place.
Profile
- Qualified accountant or equivalent treasury qualification.
- Extensive experience in corporate treasury, ideally in an international, multi-entity environment.
- Strong track record in funding, refinancing, capital structure and financial risk management.
- Comfortable operating at Executive and Board level.
- Proven people leader with experience building and developing teams.
- Commercial, strategic and confident working with autonomy and influence.
Job Offer
- True Group Treasurer mandate with strategic ownership.
- High visibility with CFO, CEO and Board.
- Strong exposure to M&A, funding and capital markets activity.
- International, growing, multi-brand group.
- Opportunity to shape and evolve a Group-level treasury function.
Group Treasurer in London employer: ACCA Careers
Contact Detail:
ACCA Careers Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Group Treasurer in London
✨Tip Number 1
Network like a pro! Reach out to your connections in the finance and treasury sectors. Attend industry events or webinars where you can meet potential employers or colleagues. Remember, it’s all about who you know!
✨Tip Number 2
Prepare for interviews by researching the company’s treasury strategy and recent financial activities. Be ready to discuss how your experience aligns with their needs, especially in funding and risk management. Show them you’re the perfect fit!
✨Tip Number 3
Don’t underestimate the power of follow-ups! After an interview, send a thank-you email expressing your appreciation for the opportunity. It keeps you on their radar and shows your enthusiasm for the role.
✨Tip Number 4
Apply through our website for the best chance at landing that Group Treasurer role! We’ve got all the resources you need to make your application stand out, so don’t miss out on this opportunity.
We think you need these skills to ace Group Treasurer in London
Some tips for your application 🫡
Tailor Your CV: Make sure your CV reflects the specific skills and experiences that align with the Group Treasurer role. Highlight your experience in treasury strategy, funding, and financial risk management to catch our eye!
Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why you're the perfect fit for this high-profile role. Share your passion for treasury and how you can add value to our team.
Showcase Leadership Experience: Since this role involves leading a team, be sure to highlight any previous leadership roles you've had. We want to see how you've developed teams and driven strategic initiatives in the past.
Apply Through Our Website: We encourage you to apply directly through our website. It’s the best way for us to receive your application and ensures you’re considered for this exciting opportunity!
How to prepare for a job interview at ACCA Careers
✨Know Your Treasury Strategy
Before the interview, make sure you thoroughly understand the company's treasury strategy and how it aligns with their overall business goals. Be prepared to discuss your own experience in developing and implementing treasury strategies, as well as how you can contribute to their objectives.
✨Showcase Your Leadership Skills
As a Group Treasurer, you'll be leading a team and advising senior executives. Prepare examples of how you've successfully led teams in the past, particularly in high-pressure situations. Highlight your coaching and development skills, as well as your ability to influence decision-making at the executive level.
✨Demonstrate Financial Acumen
Brush up on your knowledge of funding, capital structure, and financial risk management. Be ready to discuss specific financing solutions you've implemented and how they benefited your previous employers. This will show that you have the hands-on experience needed for this role.
✨Engage with Stakeholders
Stakeholder management is key in this role. Think about how you've built relationships with banks, lenders, and other financial partners. Prepare to share your approach to communicating complex financial strategies clearly to both internal and external stakeholders, as this will be crucial for success in the position.