Head of Global Treasury

Posted 9 Days Ago
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Surbiton, Greater London, England, GBR
In-Office
Expert/Leader
Logistics • Transportation • Travel
The Role
Leads the global treasury function across approximately 50 subsidiaries, managing liquidity, cash-flow forecasting, working capital, foreign exchange exposure, hedging, banking relationships, debt, funding, and treasury accounting. Develops policies, controls, governance, ESG reporting, and transformation initiatives while optimizing banking structures and supporting cash collection. Partners with the CFO, lenders, clients, and senior stakeholders to protect the Group’s financial position and support international growth.
Summary Generated by Built In
Company Description

Shape the Future of Global Treasury

We are seeking an exceptional Head of Global Treasury to implement and manage our international treasury function across approximately 50 global subsidiaries.

This is a pivotal role responsible for driving liquidity, cash flow optimisation, foreign exchange risk management, banking strategy, debt management and working capital performance across a complex multinational group.

Reporting directly to the Group CFO, you will play a critical role in protecting and enhancing the Group's financial position while partnering with senior leaders and key clients to help support sustainable growth.

This is an opportunity for a commercially minded treasury professional to combine treasury thought leadership with hands-on operational expertise in a fast-paced international environment.

Job Description

As Head of Global Treasury, you will:

  • Lead all treasury activities across multiple international legal entities and currencies.
  • Own the Group's liquidity strategy, ensuring sufficient funding across all businesses.
  • Deliver accurate short, medium and long-term cash flow forecasting.
  • Optimise working capital and cash conversion throughout the organisation.
  • Support the Credit Control team in building strong relationships with senior stakeholders at key client organisations to ensure timely payment of invoices and maximise cash collection performance.
  • Manage foreign exchange exposure and develop effective hedging strategies to protect profitability.
  • Review major charter bookings and significant transactions to identify and manage currency risks.
  • Oversee monthly foreign exchange revaluations,treasury and intercompany accounting activities.
  • Lead relationships with global day to day banking partners and treasury service providers.
  • Rationalise and optimise banking structures across multiple jurisdictions.
  • Support the key lender relationships, debt servicing activities and funding requirements.
  • Develop the Group’s ESG reporting in line with ongoing audit and banking requirements
  • Develop treasury policies, controls and governance frameworks that support a best-in-class treasury function.
  • Drive treasury transformation, process improvement and automation initiatives.
  • Implement and manage a high-performing treasury function.

Qualifications

You will be an experienced treasury professional with a proven track record operating within a complex multinational environment.

You'll bring:

  • Significant experience of treasury operations across multiple legal entities and jurisdictions.
  • Expertise in cash flow forecasting, liquidity management and working capital optimisation.
  • Strong foreign exchange risk management and hedging experience.
  • Experience supporting international banking relationships and treasury structures.
  • A strong understanding of debt facilities, funding arrangements and treasury controls.
  • Demonstrable success influencing senior stakeholders internally and externally.
  • Strong analytical and financial modelling capabilities.

 

Additional Information

  • Holiday entitlement which increases with length of service
  • Family Private Medical Insurance
  • Life Insurance
  • Free breakfast and lunch
  • On site gym with weekly classes 
  • 2 x Giving Back days a year

Skills Required

  • Significant treasury operations experience across multiple legal entities and jurisdictions
  • Expertise in cash flow forecasting, liquidity management, and working capital optimization
  • Strong foreign exchange risk management and hedging experience
  • Experience supporting international banking relationships and treasury structures
  • Strong understanding of debt facilities, funding arrangements, and treasury controls
  • Demonstrable success influencing senior internal and external stakeholders
  • Strong analytical and financial modeling capabilities
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The Company
800 Employees
Year Founded: 1990

What We Do

The Mountfitchet Group is a global aviation, travel, and logistics services organization operating from 47 offices across 6 continents. The company focuses on providing comprehensive services in these sectors through both organic growth and acquisition, employing over 800 professionals with annual revenues of approximately $1.12 billion.

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