Our client is a growing global PE backed business in the infrastructure sector.  We are delighted to have been retained to launch their search for a Head of Group Treasury, a role which will report directly to the CFO, and will manage a small Treasury team, based in Edinburgh.

 

The Job:

 

Working closely with the CFO, Finance, Legal and Regional Teams, the Head of Treasury will be responsible for ensuring close alignment between Group policies and best treasury practices.  A hands on operational leader, you will manage day-to-day treasury operations, cash and liquidity, matched funding, cashflow forecasting, FX, bonding, SFA financing, covenants compliance and key banking relationships across the Company globally. Engaging with the business effectively, and building successful collaborative working relationships, will be critical. This is a fast paced, right first time, problem solver, treasury know-how and treasury expert mentoring job.

 

The Group Head of Treasury will be a hands-on, versatile and integral team leader, with key treasury responsibilities:

 

 

The Candidate:

 

 

How to Apply:

 

If you are interested in a confidential discussion about this opportunity, or on your job search / the market in general, please get in touch with retained advisor Amy Peoples on 07399 980 038 or [email protected].

 

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