Are you ready to build a Treasury function from the ground up in a fast-growing, international business?
We're looking for a dynamic Head of Treasury to take the lead on defining and delivering the group's treasury strategy. You'll play a key role in shaping the function, driving liquidity management, optimizing bank relationships, and implementing cutting-edge tools across a 13-site European footprint.
What you'll be doing:
✔️ Lead and grow the Treasury function
✔️ Deliver group-wide cash management, forecasting & reporting
✔️ Implement cash pooling and FX hedging strategies
✔️ Build intercompany financing frameworks and optimize working capital
✔️ Shape treasury technology across ERP systems
What you'll bring:
🔹 Significant experience in Treasury leadership roles
🔹 Strong technical knowledge of cash flow forecasting, FX, and compliance
🔹 Hands-on experience with treasury systems (e.g., Kyriba)
🔹 IFRS know-how and analytical mindset
🔹 Clear communicator and collaborator with strategic vision
This is a unique opportunity to make a real impact in a newly formed, PE-backed group with ambitious growth plans and a strong mission to improve.
Ready to lead from the front?
Apply now and take your treasury career to the next level.