At a Glance
- Tasks: Lead the treasury function, managing FX, cash flow, and operational processes.
- Company: Join a multi-billion market leader based in London, driving global financial strategies.
- Benefits: Enjoy a dynamic work environment with opportunities for professional growth and development.
- Why this job: Be a key player in shaping financial strategies while leading a talented team.
- Qualifications: Must have expertise in FX, operational treasury, and leadership experience.
- Other info: Professional certifications and a finance-related degree are required.
The predicted salary is between 72000 - 108000 £ per year.
A multi-billion market leading brand name business are looking for an International Head of Treasury to lead the treasury function from their London headquarters, driving strategy and operational excellence across global operations. This pivotal role involves overseeing foreign exchange (FX) management, hedging strategies, cash flow optimization, and operational treasury processes, while leading and developing a talented treasury team. Key Responsibilities FX and Hedging : Develop and execute effective foreign exchange risk management strategies to protect the company from currency volatility. Cash Management : Optimize global cash flow and liquidity to ensure operational efficiency and financial stability. Operational Treasury : Manage banking relationships, payments, and intercompany funding processes across international markets. Risk Management : Implement and monitor robust controls for treasury operations, ensuring compliance with policies and regulations. Leadership : Inspire, mentor, and lead a team of treasury professionals, fostering a collaborative and high-performing culture. Strategic Partnering : Collaborate with finance, tax, and business teams to align treasury initiatives with broader organizational goals. Systems and Processes : Drive process improvements and leverage technology to enhance treasury operations. What We’re Looking For We’re seeking an experienced treasury professional with: Expertise in FX and Hedging : In-depth knowledge of foreign exchange markets and risk mitigation strategies. Operational Treasury Excellence : Proven ability to manage global cash flows, banking relationships, and payment processes. Leadership Skills : Experience leading and developing high-performing teams, with a focus on collaboration and empowerment. Strategic Thinking : Strong analytical skills to align treasury operations with business objectives. Global Perspective : Familiarity with multi-country operations and cross-border financial strategies. Technical Proficiency : Advanced knowledge of treasury management systems (TMS) and financial modelling tools. Qualifications : Professional certifications (e.g., ACT, CFA, or equivalent) and a degree in finance, economics, or a related field. By applying you will be registered as a candidate with Marc Daniels Specialist Recruitment Limited. Our Privacy Policy is available on our website and explains how we will use your personal data. JBRP1_UKTJ
Marc Daniels | Head of Treasury | united kingdom employer: Marc Daniels
Contact Detail:
Marc Daniels Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Marc Daniels | Head of Treasury | united kingdom
✨Tip Number 1
Make sure to showcase your expertise in FX and hedging during networking events or industry conferences. Engaging with professionals in the treasury field can help you gain insights and potentially lead to referrals for the position.
✨Tip Number 2
Stay updated on global economic trends and currency fluctuations. Being knowledgeable about current market conditions will not only prepare you for interviews but also demonstrate your strategic thinking capabilities.
✨Tip Number 3
Connect with current or former employees of the company on LinkedIn. Understanding their experiences and the company culture can give you an edge in aligning your application with what they value in a candidate.
✨Tip Number 4
Consider joining professional organizations related to treasury management. This can enhance your credibility and provide networking opportunities that may lead to job openings in the treasury sector.
We think you need these skills to ace Marc Daniels | Head of Treasury | united kingdom
Some tips for your application 🫡
Tailor Your CV: Make sure your CV highlights your experience in treasury management, particularly in FX and hedging strategies. Use specific examples that demonstrate your operational excellence and leadership skills.
Craft a Compelling Cover Letter: Write a cover letter that clearly outlines your motivation for applying to this role. Emphasize your strategic thinking and how your background aligns with the company's goals in treasury operations.
Highlight Relevant Qualifications: Include any professional certifications you hold, such as ACT or CFA, and ensure your educational background in finance or economics is prominently displayed.
Showcase Leadership Experience: In your application, provide examples of how you've led and developed teams in previous roles. Highlight your ability to inspire collaboration and drive performance within a treasury function.
How to prepare for a job interview at Marc Daniels
✨Showcase Your FX and Hedging Expertise
Be prepared to discuss your experience with foreign exchange risk management strategies. Highlight specific examples where you've successfully mitigated currency volatility and how those strategies benefited your previous employers.
✨Demonstrate Operational Treasury Excellence
Discuss your track record in managing global cash flows and banking relationships. Provide concrete examples of how you've optimized cash management processes and improved operational efficiency in past roles.
✨Exhibit Strong Leadership Skills
Prepare to talk about your leadership style and experiences in developing high-performing teams. Share instances where you've inspired and mentored team members, fostering a collaborative environment that drives results.
✨Align Your Strategic Thinking with Business Objectives
Illustrate your analytical skills by discussing how you've aligned treasury operations with broader organizational goals. Be ready to provide examples of strategic initiatives you've led and the impact they had on the business.