Head of Treasury

Head of Treasury | London (Hybrid) | Salary, competitive + bonus and benefits

I'm partnering with a fast-growing, PE backed technology company on a genuinely exciting Treasury hire.

This isn't a steady-state role. You'll be the architect of a public-ready treasury function as the business prepares for a potential IPO transition, building policy, controls, and infrastructure from the ground up.

What you'll own:

  • Lead the Treasury function, setting and executing the company cash flow, funding, and financial risk management strategy across all regions.
  • Own Group-level cash management, including daily monitoring of positions, cash concentration, and short-term investments.
  • Manage and maintain the Treasury Management System (TMS), ensuring data quality, process integrity, and alignment with Group policies.
  • Own bank relationship management, including pricing, services, documentation, and support for local banking needs.
  • Design, implement, and monitor treasury internal controls, ensuring compliance with Group policies and relevant regulations.
  • Prepare and deliver treasury reporting for senior management, including daily liquidity dashboards, monthly KPIs, and quarterly Board-level materials.
  • Coordinate insurance renewals ensuring adequate coverage, cost effectiveness, and alignment with lenders’ requirements.

What you'll need to be consider:

  • 5–7+ years in corporate treasury
  • Experience inside a publicly traded company or through an IPO cycle (strongly preferred)
  • ACT, ACA or CFA required for the role
  • Strong financial modelling and the ability to communicate complex risk to CFO and Board level

If you've built a treasury function through hypergrowth or an IPO phase and want to do it again at one of the world's most exciting tech companies, I'd love to hear from you.

Job Details

Company
Goodman Masson
Location
City of London, London, United Kingdom
Posted