Head of Treasury in London

Head of Treasury in London

London Full-Time 75600 - 92400 £ / year (est.) Home office (partial)
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At a Glance

  • Tasks: Lead treasury operations and manage cash flow for a global financial tech company.
  • Company: Teciem, a leader in treasury and capital markets software solutions.
  • Benefits: Competitive salary, diverse workplace, and opportunities for professional growth.
  • Other info: Join a diverse team committed to innovation and collaboration.
  • Why this job: Shape the future of financial technology and make a real impact.
  • Qualifications: Extensive treasury experience and strong analytical skills required.

The predicted salary is between 75600 - 92400 £ per year.

Teciem designs, builds, and delivers treasury and capital markets software solutions for financial institutions worldwide. We serve banks of every size and geography, offering the right setup for the right need. Our solutions are designed to replace multiple disconnected systems with one complete, front-to-back platform, helping customers to capture trading and business opportunities quickly, clearly and with control. We cover the entire trading lifecycle, ensuring that everything - from execution to position keeping, to risk management – runs smoothly.

With decades of experience and one of the largest, most diverse client bases in the industry, we turn deep industry knowledge into software that covers most asset classes, meets complex real-world treasury and capital market's needs, and adapts as markets evolve.

Teciem is a global financial technology organization delivering Treasury and Capital Markets Products with a headcount of c1,300 people. The organization is largely based in Europe but has cross-continent presence with customers across all bank tiers and an ambitious growth plan in the Americas. Reporting to the Chief Financial Officer, the Financial Controller plays a critical role in establishing and maintaining a robust, scalable accounting function. The role will support the organization through ongoing transformation, growth, and increasing operational complexity, ensuring strong financial governance, compliance, and control.

Key responsibilities

  • Manage daily cash positioning across UK and international entities.
  • Ensure liquidity to meet operational requirements across jurisdictions.
  • Coordinate intercompany funds flows, short-term borrowing, surplus positioning.
  • Participate in the short-term (weekly and monthly) cash flow forecasting process in partnership with FP&A and Accounts Payable/Receivable teams.
  • Maintain and manage relationships with banking partners.
  • Manage online banking platforms and ensure appropriate user access and segregation of duties.
  • Oversee payment approval processes and ensure compliance with internal controls and policies.
  • Monitor and optimize bank fees and service levels.
  • Support administration of external debt facilities, including interest calculations and payments, preparation of supporting schedules for covenant reporting, and coordination of compliance certificates with the Controller and CFO.
  • Monitor transactional FX exposures across the Group.
  • Support implementation of approved hedging strategies where appropriate.
  • Maintain treasury controls, including segregation of duties and governance.
  • Support annual audit process in relation to cash, debt, and treasury balances.
  • Contribute to development and review of treasury policies and procedures.
  • Work with Systems and ERP teams to enhance automation and reporting.

Experience

  • Extensive experience in corporate treasury or cash management.
  • Experience within a multi-entity, multi-currency European environment.
  • Experience in a private equity-backed or high-growth organization preferred.
  • Practical experience with cash flow forecasting, liquidity and banking operations.
  • Familiarity with European banking frameworks and cross-border cash management.

Qualifications

  • Degree in Finance, Accounting, Economics, or related field.
  • Preferred professional qualifications: AMCT (Associate Member of the Association of Corporate Treasurers – UK), ACT qualification (studying towards AMCT acceptable), ACA, ACCA, or CIMA beneficial but not required, Certified Treasury Professional (CTP).

Skills & Capabilities

  • Strong understanding of cash flow mechanics and working capital drivers.
  • Solid Excel capability and financial modelling skills.
  • Experience working with ERP systems and online banking platforms.
  • Detail-oriented with a strong control mindset.
  • Clear communicator able to present liquidity information succinctly.
  • Team player who partners well with FP&A, Accounting, and operational teams.
  • Organized and able to operate effectively in a fast-paced, PE-backed environment.

At Teciem, we believe that our strength comes from the diversity of our people. Different perspectives, backgrounds, and experiences fuel our innovation and help us build solutions that truly make a difference in the world of financial technology. We’re committed to creating a workplace where everyone feels respected, heard, and empowered to grow. Here, you can bring your whole self to work, contribute your unique ideas, and be part of a team driven by shared ambition. We welcome talent from all walks of life and encourage applications from individuals of all genders, races, ages, abilities, identities, and beliefs. Together, we’re shaping a culture where diversity isn’t just celebrated — it’s essential to our success.

We empower financial institutions to build resilient and future-ready economies, worldwide. To lead innovation in treasury and capital markets technology, building on the solid foundations of our mission-critical and industry-defining solutions. We place our clients' success and ambitions at our core, continuously evolving and innovating our solutions to deliver outstanding business value and real economic impact.

You help us simplify Treasury and capital markets can be intricate, but you play a key role in making them easier to navigate. Your ideas and expertise help us transform complicated processes into intuitive, streamlined solutions used by financial institutions worldwide. Every improvement you make creates clarity, efficiency, and real-world impact for our clients.

You shape the future with AI, every day AI isn’t a buzzword here — it’s embedded in how we build, innovate, and deliver. Whether you’re working on smarter automation, data-driven insights, or enhanced user experiences, your contribution fuels the next generation of intelligent financial technology. You’ll be part of a team that uses AI to make our products faster, sharper, and more meaningful for the industry.

You grow through collaboration. We believe the best outcomes happen when great minds come together. You’ll work alongside talented colleagues across engineering, product, design, and client-facing teams — sharing knowledge, solving problems, and learning constantly. Collaboration isn’t just how we work; it’s how we grow, innovate, and support each other.

Head of Treasury in London employer: Teciem

Teciem is an exceptional employer that fosters a dynamic and inclusive work culture in the heart of London, where innovation meets collaboration. Employees benefit from comprehensive professional development opportunities, ensuring growth within the finance technology sector while working alongside industry experts. With a strong focus on employee well-being and a commitment to delivering impactful solutions for clients, Teciem stands out as a rewarding place to build a meaningful career.

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Contact Details:

Teciem Recruitment Team

StudySmarter Expert Advice🤫

We think this is how you could land Head of Treasury in London

Tap into Campus Networks

If you're still in uni, don’t forget to engage with your campus's career services and attend finance-related events. Banks often do presentations and recruitment drives on campus, so put yourself out there and make use of these opportunities to show off your passion for the field.

Get Certified

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Join finance-focused groups on platforms like LinkedIn and engage in discussions. This can really help you stand out from the crowd, allowing potential employers to see your knowledge and interest in industry trends. Plus, you might stumble upon job postings shared exclusively within the group.

Apply Directly and Be Proactive

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We think you need these skills to ace Head of Treasury in London

Cash Management
Liquidity Management
Cash Flow Forecasting
Banking Operations
Financial Modelling
ERP Systems
Online Banking Platforms

Some tips for your application 🫡

Show Off Your Numbers!:In the banking and financial services world, quantifiable achievements are key. Make sure your CV highlights your grades in relevant subjects, any financial certifications you hold, and specific projects where you've delivered measurable results. Employers love to see how your skills translate into real-world success.

Tailor Your Cover Letter to the Role:When applying for a full-time position, your cover letter should make a direct connection between your experience and the job description. Don't just state your enthusiasm for finance—dive into how your background in banking or financial analysis sets you apart. Let your passion shine through while being specific about what you can bring to Teciem.

Include Relevant Financial Software Experience:If you've worked with financial modelling tools or software like Excel, SAP, or specific analytical tools during your studies or internships, bring that up! Highlighting your proficiency can really make your application pop and show you're ready to hit the ground running in a full-time role.

Research and Reflect:Before hitting that 'apply' button on Teciem's website, do a little digging. Look up their recent projects, values, and culture. Reflecting their ethos in your application can make a huge difference and show you’re genuinely interested in being part of the team!

How to prepare for a job interview at Teciem

Brush Up on Financial Analysis Skills

Make sure you're well-versed in financial concepts and analytical techniques relevant to banking and financial services. Get comfortable with tools like Excel for modelling or financial forecasting, as technical questions in this area are common during interviews with Teciem.

Prepare for Case Studies

Expect to tackle case studies that demonstrate your problem-solving skills in real-world banking scenarios. Familiarise yourself with the types of problems you might face—think risk assessments or investment evaluations—and be ready to articulate your thought process clearly.

Show Your Passion for Finance

Since this is a full-time position, employers at Teciem will be keen to see your genuine interest in finance. Be prepared to discuss recent industry trends or news articles that excite you, showcasing your enthusiasm and engagement with the field.

Network with Industry Professionals

Before your interview, reach out to current or former Teciem employees on platforms like LinkedIn. They'll offer unique insights into the company's culture and the interview process, which can give us a delightful edge in showcasing a good fit for the team.