At a Glance
- Tasks: Lead treasury operations, optimise cash flow, and manage financial risks in a dynamic environment.
- Company: Join a leading financial services business with a strong focus on strategic growth.
- Benefits: Competitive salary, hybrid working, generous holiday, and comprehensive health benefits.
- Why this job: Make a significant impact by shaping financial strategy and mentoring a high-performing team.
- Qualifications: Proven leadership in treasury operations and strong knowledge of UK tax regulations.
- Other info: Enjoy ongoing learning opportunities and a supportive workplace culture.
The predicted salary is between 80000 - 100000 £ per year.
We are seeking an experienced and strategic leader to take on the dual role of Head of Treasury at a leading financial services business. This is a high-impact, high-visibility role reporting to the CFO & FD and working closely with the Board and Treasury Committee.
The successful candidate will lead treasury optimising financial resources, managing risk, and ensuring compliance across multiple jurisdictions. This is an exceptional opportunity to combine technical expertise with strategic influence in a dynamic and growing organisation.
Key Responsibilities- Treasury Management
- Develop and implement strategies to optimise cash flow, liquidity, and capital structure.
- Lead cash forecasting, banking relationships, and investment decisions.
- Monitor and mitigate financial risks through hedging and reporting.
- Ensure treasury operations comply with regulatory and governance requirements.
- Drive process improvements and system enhancements in treasury operations.
- Tax Management
- Design and execute a proactive tax strategy to minimise risk.
- Oversee UK Corporation Tax and VAT compliance, plus cross-border obligations.
- Advise on tax implications for new products, initiatives, and corporate transactions.
- Monitor tax legislation and recommend proactive changes to policies and strategy.
- Provide clear insights to senior stakeholders on tax exposure and opportunities.
- Lead, mentor, and develop a high-performing treasury and tax team.
- Collaborate with senior leaders to shape financial strategy and business planning.
- Present treasury and tax insights, risks, and recommendations to the Board and Treasury Committee.
- Stay ahead of industry trends, regulatory updates, and best practices.
- Proven leader with deep experience in treasury operations, cash management, and financial instruments.
- Strong technical knowledge of UK corporate tax, VAT, and employer duties, with cross-border awareness.
- Experienced in process improvement, system implementation, and financial controls.
- Confident communicator able to translate complex treasury and tax issues to senior stakeholders.
- Collaborative team-player, adept at building strong relationships internally and externally (banks, HMRC, advisers).
- Highly reliable, detail-oriented, and maintains the highest standards of integrity.
- Professional accounting qualification (ACCA, ICAEW, ACA) or equivalent.
- Extensive experience in treasury or financial leadership roles within organisations with significant cash flow.
- Track record of managing complex compliance, reporting, and financial risk frameworks.
Competitive salary and discretionary annual bonus. Hybrid working options with minimum 2 days per week in the office. 25 days holiday plus bank holidays, with option to purchase up to 5 additional days. Pension scheme with up to 11% employer contribution. Private medical insurance, income protection, and life insurance (4x salary). Health care cash plans including optical, dental, and outpatient care. Access to wellbeing programme, including fitness, mental health support, and health screening. Paid volunteering days, in-house subsidised deli and coffee, travel-to-work schemes. Ongoing learning, development, and leadership opportunities.
If you feel the above aligns with your experience, please do reach out. Unfortunately, due to a high number of applicants we shall be unable to respond to all unsuccessful applicants.
Head of Treasury in England employer: Stanton House
Contact Detail:
Stanton House Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Head of Treasury in England
✨Network Like a Pro
Get out there and connect with people in the finance world! Attend industry events, join relevant LinkedIn groups, and don’t be shy about reaching out to former colleagues. You never know who might have a lead on that perfect Head of Treasury role.
✨Ace the Informational Interview
Set up informal chats with professionals already in treasury roles. Ask them about their experiences and insights into the industry. This not only helps you learn but also puts you on their radar for future opportunities!
✨Showcase Your Expertise
Create content that highlights your knowledge in treasury management and tax strategy. Whether it’s a blog post or a LinkedIn article, sharing your insights can position you as a thought leader and attract attention from hiring managers.
✨Apply Through Our Website
When you find a role that excites you, apply directly through our website. It shows your genuine interest and gives us a chance to see your application in the best light. Plus, we love seeing candidates who are proactive!
We think you need these skills to ace Head of Treasury in England
Some tips for your application 🫡
Tailor Your CV: Make sure your CV reflects the specific skills and experiences that match the Head of Treasury role. Highlight your treasury management experience, compliance knowledge, and any leadership roles you've held. We want to see how you can bring value to our team!
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 position. Share your passion for treasury operations and how your strategic mindset aligns with our goals at StudySmarter. Remember, we love a good story!
Showcase Your Achievements: When detailing your past roles, focus on your achievements rather than just responsibilities. Use numbers and examples to demonstrate how you've optimised cash flow or improved processes. We’re all about results, so let us see yours!
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 the role. Plus, it shows you’re keen on joining our dynamic team at StudySmarter!
How to prepare for a job interview at Stanton House
✨Know Your Numbers
As the Head of Treasury, you'll need to demonstrate a strong grasp of financial metrics. Brush up on cash flow optimisation strategies and be ready to discuss how you've successfully managed liquidity in previous roles. This shows you’re not just familiar with the theory but have practical experience.
✨Master the Compliance Game
Given the importance of compliance in this role, make sure you understand the regulatory landscape. Be prepared to talk about your experience with UK Corporation Tax, VAT, and any cross-border obligations. Highlight specific instances where you ensured compliance and mitigated risks.
✨Showcase Your Leadership Skills
This position requires leading a high-performing team, so come ready to share examples of how you've mentored and developed others. Discuss your approach to building relationships with senior stakeholders and how you’ve influenced financial strategy in past roles.
✨Stay Ahead of Trends
The financial services sector is always evolving, so it’s crucial to stay informed about industry trends and regulatory updates. Prepare to discuss recent changes in treasury operations or tax legislation and how they might impact the organisation. This will show that you’re proactive and forward-thinking.