Job Description
Our client, a leading multinational is currently recruiting for a key hire for its Treasury team. Reporting to the Treasurer, and with significant interaction with senior leadership, this is an excellent opportunity for an ambitious Treasury professional to join the team, and establishing, leading and managing key aspects of the Treasury function. Responsibilities include:
- Analysis and implementation of strategies and processes for cash management including pooling, investing and forecasting
- Design and maintenance of Group Treasury policies, ensuring adequate risk management strategies and controls
- Establish scalable processes to allow Group Treasury to grow with the business, including the management of acquisitions and integrations thereof
- Stakeholder Management – Leading teams internally and engaging externally on compliance matters including audits, etc.
Requirements for this Role
- You will have a minimum of 3 years’ experience in a Corporate Treasury environment with experience with cash management; hedging; and Treasury Management Systems.
- Experience of leading improvements/transformation is an advantage
- You will be self motivated and a strong communicator with commercial awareness and the ability to take a strategic view of the Group Treasury.
About Our Client
A leading multinational.
Remuneration
Excellent, plus bonus & benefits.