Head of Treasury

  • Location
    Manchester, Greater Manchester
  • Contract Type
    Permanent
  • Posted
  • Start Date
    2026-10-19
  • Industry
    Commerce and industry
  • Expiry Date
    2026-08-13

The Opportunity

A global industrial technology business is seeking an experienced Head of Treasury to lead and develop its Group Treasury function.

This is a unique opportunity to take ownership of a broad treasury remit while playing a central role in the implementation and ongoing development of a new Treasury Management System (TMS). The position offers significant exposure to senior finance leadership and international stakeholders and would suit a hands-on treasury professional who thrives in a transformation environment.

Key Responsibilities

Reporting into a senior finance leader, you will be responsible for:

  • Leading and developing the Group Treasury function, including governance, controls, policies and processes.
  • Managing cash, liquidity, forecasting and working capital activities across the Group.
  • Overseeing cash pooling structures, in-house bank activities and intercompany funding arrangements.
  • Maintaining and strengthening relationships with banking partners and financial counterparties.
  • Managing debt facilities, covenant compliance, guarantees and credit insurance programmes.
  • Identifying, monitoring and managing foreign exchange and other financial risks.
  • Delivering high-quality treasury reporting and business insights to senior stakeholders.
  • Driving treasury automation, standardisation and continuous improvement initiatives.
  • Leading treasury participation in the implementation, roll-out and optimisation of a new Treasury Management System.
  • Provide functional support to finance teams across multiple international locations.

About You

We are looking for a commercially minded treasury professional who combines strong technical expertise with a pragmatic, hands-on approach.

You will likely have:

  • A degree in Finance, Accounting, Economics, Business or a related discipline.
  • ACT qualification (or equivalent treasury qualification).
  • Significant treasury experience gained within an international corporate environment.
  • Strong knowledge of liquidity management, cash forecasting, banking structures and treasury operations.
  • Experience managing debt, FX exposure and broader financial risk activities.
  • A track record of improving treasury processes, controls and governance frameworks.
  • Experience supporting or leading a Treasury Management System implementation or treasury transformation programme.
  • Excellent stakeholder management and communication skills.
  • Strong analytical capabilities and the ability to translate complex treasury requirements into practical solutions.
  • A proactive, self-motivated approach with a focus on continuous improvement.

If this role sounds of interest, please reach out directly or apply through the link.

Please note our advertisements use PQE/salary levels purely as a guide. However, we are happy to consider applications from all candidates who are able to demonstrate the skills necessary to fulfil the role.

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