Head of Group Treasury

Location Medway
Salary C.£80k
Contract Permanent
Job Ref

Head of Group Treasury | Circa £80k | Only 1 Day on Site

International, Multi‑Entity Business | Senior Leadership Role | Private‑Equity Backed Environment

Are you a seasoned treasury professional who thrives in complex, fast‑moving, multinational environments? Do you combine sharp commercial instincts with exceptional technical depth? If so, this is a standout opportunity to lead and elevate the Group Treasury function of a rapidly growing international organisation.

We’re partnering with an ambitious, multi‑entity business undergoing significant expansion across Europe. Backed by investors and driven by innovation, the organisation is now seeking a Head of Group Treasury to shape strategy, optimise liquidity, and ensure financial resilience across all regions.

The Opportunity

As Head of Group Treasury, you will take full ownership of the group’s treasury operations, funding strategy and liquidity planning. This is a high‑impact, highly visible leadership role working closely with the CFO and senior investment stakeholders.

You will operate at both strategic and operational levels—designing best‑in‑class treasury frameworks while ensuring day‑to‑day treasury activities run seamlessly across multiple countries and entities.

If you enjoy complexity, cross‑border finance, and the challenge of building a robust treasury function in a dynamic, evolving business, this role offers exceptional scope.

Key Responsibilities:

·         Lead group‑wide liquidity management, treasury operations and cash optimisation.

·         Partner with the CFO and private equity stakeholders on financing strategy and capital structure.

·         Own group‑level cash flow forecasting and working capital optimisation, including enhancement of factoring solutions.

·         Manage global cash‑pooling structures and intercompany funding models.

·         Oversee debt facilities, covenant compliance and refinancing activity.

·         Monitor and manage FX risk, hedging strategies and treasury controls.

·         Build strong banking relationships across multiple jurisdictions.

·         Drive digitisation, automation and continuous improvement within treasury processes.

·         Ensure strong governance, internal controls and high‑quality reporting for senior and external stakeholders.

What You Bring

Essential:

  • 3–5 years’ experience in a multinational, multi‑entity environment (a must to navigate the complexity of the role).
  • Proven treasury expertise across liquidity, funding, FX, and operational controls.
  • Business‑minded, commercially astute approach with excellent communication skills.
  • Precision, analytical strength and a calm, pragmatic style.
  • A relevant Master’s degree or professional treasury/finance qualification.

Desirable:

  • Experience working within a private equity‑backed organisation.
  • Exposure to M&A integration and cross‑border treasury structures.

Who You Are

  • Resilient – you perform at your best in fast‑paced, changing environments.
  • Integrity‑led – governance, transparency and doing things the right way matter to you.
  • Agile – you adapt quickly to evolving business models and market conditions.
  • Influential communicator – able to translate complex treasury concepts for non‑finance stakeholders.


What’s on Offer

  • Competitive base salary of £70,000 – £80,000 (DOE).
  • Hybrid working model.
  • Generous holiday allowance including your birthday off.
  • Health cash plan, corporate perks and wellbeing benefits.
  • Free onsite parking for office‑based days.
  • Continuous learning & development opportunities.

Join a business where treasury is valued, investment is active, and your expertise will drive meaningful impact across an international footprint.

Apply now

Consultant

Dan Gladwin

Director