Head of Policy Analysis

Head of Policy Analysis

London Full-Time 54000 - 84000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Lead treasury operations, manage cash flow, and oversee financial performance.
  • Company: Join a prestigious private family office with a diverse global portfolio.
  • Benefits: Enjoy a hands-on role with strategic influence and potential for growth.
  • Why this job: Be part of a high-performing team making impactful financial decisions.
  • Qualifications: 7-10 years in corporate treasury; strong academic background required.
  • Other info: Opportunity to modernise processes and develop a key function.

The predicted salary is between 54000 - 84000 £ per year.

Associate Director – Head of Treasury & Head of Interim Tax Pure Search is pleased to partner with a private family office in their search for a newly created Head of Treasury role. Our client is the private family office for a multi-generational family. They have significant assets and a global portfolio of privately held businesses across a diverse range of sectors including technology, real estate & transportation and logistics. With responsibility for managing a substantial investment balance sheet & portfolio the Head of Treasury is a key role in leading on this global group’s financial performance. This is a hands-on role with strategic and operational responsibility for Treasury across the family office. Including leading key projects, modernising treasury processes, internal controls & systems. We are looking for individuals, who are proactive, commercially minded & entrepreneurial with circa 7-10 years of corporate treasury experience ideally from a private business, family office, bank or capital-intensive business. This role is an amazing platform for a confident Head of Treasury with initiative and expertise to develop a function within a high performing private family office. We are looking for an individual with circa 7-10 years corporate treasury experience ideally from a private business, family office, bank or capital-intensive business. Who has strong academic background & ACT qualification or equivalent. Treasury Operations and Cash Management Management of daily treasury operations, liquidity forecasting through to execution of payments. Management of cash flow forecasting and ensuring adequate measures are in place for liquidity management. Lead and refine the current cash flow forecasting process. Incorporate financial and debt movements (such as divestments, acquisitions & debt transactions) into accurate cash flow forecasting. Execution of payments & financial transactions, ensuring appropriate controls are in place. Management of FX exposures and develop hedging strategies. Development of real time KPIs for Treasury to track performance and monitor financial risks. Banking and Relationship Management Management of banking relationships for the family office. Ensure appropriate account management is in place for banking partners including transaction management & KYC/ AML compliance. Maintain and develop a fit for purpose database of banking relationships & ensure compliance and regulatory reporting is in place. Demonstrated strong internal and external stakeholder management skills to ensure treasury is aligned with the broader business and its wider objectives. Financial Analysis and Reporting Preparation of treasury reports, analysis and commentary for senior stakeholders on performance. Analysis treasury and financial data to influence future trends, opportunities that inform future business decisions. Proven numerical and analytical skills, with an ability to interpret financial data to support strategic decision making. Advanced excel skills, in financial modelling, scenario analysis and treasury reporting. Projects, Systems & Process Improvement Staying informed of accounting & tax implications and ensuring adjustments are made accordingly. Employment type Full-time Industries Investment Management Get notified about new Head of Treasury jobs in London Area, United Kingdom . Head of Treasury and Accounts Receivable Group Treasury Head of Project Management and Treasury Transformation Head of Payments & Cash Management Products Head of Payment Operations (m/f/d) – Berlin or London Location Head of Lending & Financing Risk Technology Vice President, Liquidity Risk Management Head of European Power Trading Risk & Control Associate Director, Treasury Transformation, Data & Analytics Head of Risk Management to become Chief Risk Officer (CRO) – Predominately Cash Equities, Associate Director, Treasury Transformation, Data & Analytics Global Head of Credit Risk Management Services Director, Secured Issuance, Group Corporate and Treasury Legal Director, Secured Issuance, Group Corporate and Treasury Legal Head L&H Credit Pricing (Hybrid; Interim Head Liquidity & Funding (12 month FTC) We’re unlocking community knowledge in a new way. Experts add insights directly into each article, started with the help of AI. #

Head of Policy Analysis employer: Pure Search

As a private family office managing a diverse global portfolio, we offer an exceptional work environment that fosters innovation and strategic thinking. Our culture prioritises collaboration and personal growth, providing employees with the opportunity to lead impactful projects while developing their skills in a supportive setting. Located in the vibrant London area, our team enjoys a dynamic atmosphere that encourages entrepreneurial spirit and professional advancement.
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Contact Detail:

Pure Search Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Head of Policy Analysis

✨Tip Number 1

Network with professionals in the treasury and finance sectors. Attend industry events, webinars, or local meetups to connect with individuals who may have insights into the family office space or know about similar roles.

✨Tip Number 2

Research the specific family office you are applying to. Understanding their investment strategies, portfolio sectors, and recent news can help you tailor your discussions and demonstrate your genuine interest during interviews.

✨Tip Number 3

Prepare to discuss your experience with cash flow forecasting and treasury operations in detail. Be ready to share specific examples of how you've improved processes or managed liquidity in previous roles.

✨Tip Number 4

Showcase your analytical skills by being prepared to discuss financial modelling and scenario analysis. Highlight any tools or software you’ve used, especially advanced Excel functions, to demonstrate your technical proficiency.

We think you need these skills to ace Head of Policy Analysis

Corporate Treasury Management
Cash Flow Forecasting
Liquidity Management
Financial Analysis
Advanced Excel Skills
Financial Modelling
Stakeholder Management
Banking Relationship Management
KYC/AML Compliance
Risk Management
Project Management
Process Improvement
Numerical and Analytical Skills
Strategic Decision Making
Communication Skills

Some tips for your application 🫡

Tailor Your CV: Make sure your CV highlights your corporate treasury experience, particularly in private businesses or family offices. Emphasise your achievements in managing cash flow forecasting and financial analysis.

Craft a Compelling Cover Letter: In your cover letter, express your enthusiasm for the role and the family office environment. Discuss how your proactive and entrepreneurial mindset aligns with their needs, and provide specific examples of your past successes in treasury operations.

Highlight Relevant Qualifications: Clearly state your academic background and any relevant qualifications, such as ACT or equivalent. This will demonstrate your expertise and commitment to the field of treasury management.

Showcase Stakeholder Management Skills: Include examples of your experience in managing banking relationships and internal stakeholders. Highlight your ability to align treasury functions with broader business objectives, as this is crucial for the role.

How to prepare for a job interview at Pure Search

✨Showcase Your Treasury Expertise

Make sure to highlight your 7-10 years of corporate treasury experience. Be prepared to discuss specific projects you've led, particularly those that involved cash flow forecasting and liquidity management, as these are crucial for the role.

✨Demonstrate Strategic Thinking

Prepare examples of how you've contributed to strategic decision-making in previous roles. Discuss how your analytical skills have influenced financial trends and opportunities, showcasing your ability to align treasury functions with broader business objectives.

✨Highlight Relationship Management Skills

Since managing banking relationships is key, be ready to talk about your experience in stakeholder management. Share instances where you successfully navigated complex relationships or compliance issues, demonstrating your ability to maintain strong partnerships.

✨Prepare for Technical Questions

Brush up on advanced Excel skills and be ready to discuss financial modelling and scenario analysis. You might be asked to solve a problem on the spot, so practice explaining your thought process clearly and confidently.

Head of Policy Analysis
Pure Search
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