This organisation is building a modern, digitally‑led finance function to support a growing, multi‑entity investment structure. Treasury plays a central role in how capital is protected, deployed and reported across the group.
The environment is fast‑thinking and improvement‑driven. Reporting quality matters. Data is expected to inform decisions, not follow them. Ideas are encouraged, challenged and implemented quickly. This will appeal to someone constrained by process‑heavy or static treasury environments.
The remit is broad and hands‑on. This is a specialist treasury role with responsibility for leading a small treasury team, embedding a Treasury Management System and owning liquidity, FX and funding strategy across multiple entities to diversify risk.
At a glance
- Group cash, liquidity and FX management across multiple currencies and banks
- Treasury systems, digital reporting and forecasting from 1 week to 1 year
- Leadership of a treasury team and ownership of treasury governance
The role sits alongside senior finance stakeholders, with exposure to audits, banking negotiations and volatile monetary environments, particularly across Africa and the Middle East.
This is not a role for someone overseeing treasury at arm’s length. Depth of technical treasury experience is essential.
Key experience required
- Direct ownership of group treasury operations, forecasting and FX hedging
- Leadership of a treasury team and implementation or optimisation of a TMS
- Management of multi‑bank structures, facilities and cash pooling