Job Description
📋 Description Manage group cash across entities and currencies; liquidity forecasts Manage short-term investments within board-approved limits Identify, measure, and manage FX exposure; hedge where needed Own banking relationships, signatories, and payment controls Day-to-day treasury operations, settlements, and cash positioning Draft and maintain treasury policy and risk framework; enable SOX readiness 🎯 Requirements 5+ years in corporate treasury, ideally with scale-up or pre-IPO experience Treasury qualification (ACT/AMCT) and/or ACA/ACCA/CIMA/CFA Multi-currency cash and FX experience; money market funds and short-dated instruments A controls mindset and the discipline to build process where none yet exists Numbers-led communicator able to operate independently in a lean, fast-moving environment