Stott and May
Job DescriptionTreasurerLocation – Central or West LondonThe OpportunityAn exciting opportunity for an ambitious treasury professional looking to broaden their experience and progress towards a senior treasury leadership role. Working closely with the Group CFO, you will play a key role in managing liquidity, funding, financial risk, and banking relationships while helping shape the Group’s financial strategy.Key ResponsibilitiesLead cash and liquidity management, including forecasting and optimisation of working capital. Manage banking relationships and support funding, refinancing, and debt management activities. Identify and mitigate financial risks, including FX, interest rate, credit, and liquidity exposures. Provide strategic financial analysis and insight to support business growth and investment decisions. Drive improvements in treasury systems, processes, and controls. Ensure compliance with treasury policies, governance standards, and regulatory requirements. Partner with stakeholders across Finance, Risk, Operations, and Technology to deliver strategic initiatives. About YouStrong treasury experience across cash management, funding, and financial risk. Commercially minded with excellent analytical and communication skills. Comfortable influencing senior stakeholders and building external relationships. Proactive, self-motivated, and keen to develop into a future Head of Treasury or Group Treasurer role. Experience within financial services or a complex corporate environment is advantageous. Why Join?This role offers significant exposure to senior leadership, the opportunity to influence key strategic decisions, and a clear pathway for career progression within a dynamic and growing organisation.
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