Group Head of Treasury - FTC 6 months in Abingdon
Group Head of Treasury - FTC 6 months

Group Head of Treasury - FTC 6 months in Abingdon

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

  • Tasks: Lead treasury strategy and manage liquidity for a global education tech company.
  • Company: Join RM, a pioneer in education technology enriching learners' lives worldwide.
  • Benefits: Enjoy hybrid working, competitive salary, private healthcare, and performance bonuses.
  • Why this job: Make a real impact on financial stability while supporting education globally.
  • Qualifications: Proven experience in treasury management and strong analytical skills required.
  • Other info: Diverse and inclusive workplace with excellent career development opportunities.

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

Would you like to help enrich the lives of learners around the world? At RM, we’ve been pioneers of education technology. We provide technology and resources to the education sector, supporting over 10 million students worldwide. We work with over 28,000 schools, nurseries, and education trusts in multiple countries to deliver customer‑centric solutions that improve education outcomes.

RM Group operates through three businesses: Technology (Managed Services, Software and Infrastructure for Schools), Assessment (Software and Services) and TTS (Educational Resources). We are an international company operating across multiple jurisdictions and sectors. With a complex multi‑currency structure and substantial leverage, we require a strategic and experienced Group Head of Treasury to drive financial stability and growth. The role is integral to the management of our liquidity, currency risks, and debt obligations, ensuring compliance with banking covenants and maintaining strong relationships with financial institutions.

We welcome applications from individuals seeking contract, FTC or part‑time opportunities.

Responsibilities
  • Strategic Treasury Management: Develop and implement a robust treasury strategy aligned with the group’s financial objectives. Manage liquidity to ensure the availability of funds to meet operational and strategic requirements, including ownership of short, mid and long‑term cash flow forecasting. Lead the development and optimization of cash management systems and processes.
  • Debt and Banking Relationships: Monitor and manage banking covenants to ensure compliance and avoid breaches. Build and maintain strong relationships with banks, financial institutions, and rating agencies.
  • Multi‑Currency and Hedging Management: Monitor and manage foreign exchange exposures across the group. Design and implement effective hedging strategies to mitigate currency risk. Ensure compliance with regulatory requirements in multi‑currency operations.
  • Risk and Compliance: Establish and monitor internal controls and policies related to treasury activities. Collaborate with legal and compliance teams to ensure adherence to local and international regulations. Prepare and present risk assessments and recommendations to the Board and Executive Team.
  • Team Leadership and Development: Build and lead a high‑performing offshore treasury team, providing mentorship and fostering a culture of continuous improvement. Act as a key advisor to the CFO and senior management on treasury‑related matters. Lead and negotiate a refinancing of company total debt structure to be completed post‑company strategic activity. Design, implement and establish a revised Treasury & AP function to take the business into the next stage of its strategic journey. Act as SME for Treasury & AP in a company‑wide new ERP implementation.
Experience
  • Essential Experience: Proven experience in a senior treasury role within an international organization. Deep understanding of cashflow forecasting techniques and liquidity management is critical, especially in cash constrained / highly leveraged environments. Experience in monitoring and managing banking covenants in a leveraged business environment. Expertise in multi‑currency operations and developing effective hedging strategies. Strong track record of managing banking relationships and executing refinancing exercises. Extensive experience in leading complex refinancing initiatives.
  • Skills and Attributes: Strong analytical and strategic thinking skills, with the ability to anticipate and manage financial risks. Excellent negotiation and relationship‑building skills with external financial partners. Advanced understanding of financial instruments, market trends, and regulatory environments. Effective leadership and team management skills, with the ability to work collaboratively across geographies.
Qualifications: A degree in Finance, Economics, or a related field. Master’s degree or professional qualification, such as CFA or ACT, is highly desirable.

At RM we have My Work Blend @RM which provides office‑based colleagues with multi‑location and hybrid working options. As well as your office base, you can spend a proportion of your time working at other locations that suit your role and your life, including home, other offices, customer sites, distribution centres or on the move. We encourage you to discuss arrangements for this role with your potential line manager during the recruitment process.

As well as a competitive salary and our core benefits package which includes private medical healthcare, life assurance and a Group Personal Pension Plan with higher contribution levels available, some roles are also eligible for a performance‑related bonus. There are lots of voluntary benefits too. You could buy additional annual leave, join our dental plan, sign up for a health assessment, or take part in our cycle‑to‑work scheme. You could even earn yourself an extra bonus for successfully recommending a friend or family member for a position within RM.

To better reflect the society that we serve, we’re committed to building a diverse workforce and creating an inclusive and welcoming environment for all. To achieve this, we create teams of talented people from different backgrounds and experiences and strive to be a business where our people can bring their whole selves to work. We also want to make the recruitment process as inclusive as possible for everyone. Should you require additional support with your application or through the interview process, please contact us.

Unfortunately, we are unable to offer visa sponsorship for this role.

Group Head of Treasury - FTC 6 months in Abingdon employer: RM plc

At RM, we pride ourselves on being an exceptional employer, offering a dynamic work culture that fosters innovation and collaboration. Our commitment to employee growth is evident through our flexible working options, comprehensive benefits package, and a strong focus on diversity and inclusion, ensuring that every team member can thrive both personally and professionally. Join us in our mission to enrich the lives of learners worldwide while enjoying a supportive environment that values your contributions.
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Contact Detail:

RM plc Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Group Head of Treasury - FTC 6 months in Abingdon

✨Tip Number 1

Network like a pro! Reach out to your connections in the finance and treasury sectors. Attend industry events or webinars, and don’t be shy about introducing yourself. You never know who might have the inside scoop on job openings!

✨Tip Number 2

Prepare for those interviews! Research RM Group thoroughly and understand their treasury needs. Be ready to discuss how your experience aligns with their goals, especially around cash flow forecasting and banking relationships.

✨Tip Number 3

Showcase your leadership skills! If you’ve led teams before, share those experiences during interviews. RM is looking for someone who can build and lead a high-performing treasury team, so highlight your mentoring and team-building successes.

✨Tip Number 4

Apply through our website! It’s the best way to ensure your application gets seen. Plus, it shows you’re genuinely interested in joining RM and contributing to enriching learners' lives worldwide.

We think you need these skills to ace Group Head of Treasury - FTC 6 months in Abingdon

Strategic Treasury Management
Liquidity Management
Cash Flow Forecasting
Banking Relationships
Multi-Currency Operations
Hedging Strategies
Risk Management
Compliance Monitoring
Team Leadership
Negotiation Skills
Analytical Skills
Financial Instruments Knowledge
Market Trends Understanding
Collaboration Skills

Some tips for your application 🫡

Tailor Your Application: Make sure to customise your CV and cover letter for the Group Head of Treasury role. Highlight your relevant experience in treasury management, cash flow forecasting, and banking relationships. We want to see how your skills align with our mission at RM!

Showcase Your Achievements: Don’t just list your responsibilities; share your successes! Use specific examples of how you've improved liquidity management or developed effective hedging strategies. This helps us understand the impact you've made in previous roles.

Be Clear and Concise: Keep your application straightforward and to the point. Use clear language and avoid jargon where possible. We appreciate a well-structured application that makes it easy for us to see your qualifications and fit for the role.

Apply Through Our Website: We encourage you to submit your application directly through our website. It’s the best way for us to receive your details and ensures you’re considered for the position. Plus, it’s super easy to do!

How to prepare for a job interview at RM plc

✨Know Your Treasury Stuff

Make sure you brush up on your treasury management knowledge, especially around cash flow forecasting and liquidity management. Be ready to discuss specific strategies you've implemented in the past, particularly in complex, multi-currency environments.

✨Build Relationships

Since this role involves managing banking relationships, think about how you can demonstrate your relationship-building skills. Prepare examples of how you've successfully negotiated with banks or financial institutions in previous roles.

✨Showcase Your Leadership Skills

As a Group Head of Treasury, you'll need to lead a team. Be prepared to talk about your leadership style and how you've developed high-performing teams in the past. Highlight any mentoring experiences that showcase your ability to foster a culture of improvement.

✨Prepare for Risk Management Questions

Expect questions around risk assessment and compliance. Think of scenarios where you've identified financial risks and how you addressed them. Being able to articulate your approach to establishing internal controls will set you apart.

Group Head of Treasury - FTC 6 months in Abingdon
RM plc
Location: Abingdon
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  • Group Head of Treasury - FTC 6 months in Abingdon

    Abingdon
    Full-Time
    54000 - 84000 £ / year (est.)
  • R

    RM plc

    500-1000
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