Treasury Corporate Finance Specialist

  • Location
    London
  • Contract Type
    Permanent
  • Posted
  • Start Date
    2026-11-01
  • Industry
    Commerce and industry
  • Salary
    GBP80000 - GBP120000 per annum
  • Expiry Date
    2026-08-27

The Opportunity

Location: London (Hybrid)

A leading international natural resources and infrastructure-focused organisation is looking to appoint a Treasury Corporate Finance Specialist into its Group Treasury team.

This is an excellent opportunity for a commercially minded finance professional seeking a role that sits at the intersection of Treasury, Corporate Finance and Financial Modelling, with significant involvement in funding strategy, liquidity planning and balance sheet management.

Unlike many treasury positions, the primary focus of this role is not cash operations. Instead, the successful candidate will take ownership of sophisticated financial models used to support strategic decision-making, external financing discussions and long-term business planning.

Key Responsibilities

  • Own and develop long-term liquidity, leverage and cash flow models.
  • Build integrated forecasting models across the P&L, balance sheet and cash flow statement.
  • Perform scenario and sensitivity analysis to assess the impact of changing market conditions, operational performance and funding structures.
  • Produce modelling and analysis used by senior leadership, lenders and external stakeholders.
  • Forecast covenant compliance and debt capacity across multiple financing arrangements.
  • Support funding, refinancing and broader capital structure initiatives.
  • Provide analytical support relating to interest rate, FX and commodity-related financial risks.

What We’re Looking For

We’re keen to speak with candidates who have strong modelling skills and experience gained within:

  • Treasury
  • Corporate Finance
  • Debt Advisory – top 4 or treasury consultancy
  • Project Finance
  • Infrastructure Finance
  • Debt Capital Markets
  • FP&A
  • Transaction Services or Deal Advisory environments

Experience building robust financial models and communicating insights to senior stakeholders is essential.

Why Apply?

This role offers a rare opportunity to become the go-to modelling specialist within a global treasury environment, with exposure to funding strategy, corporate financing activities, risk analysis and executive-level decision making.

If you’re looking for a role where modelling drives real strategic outcomes rather than simply supporting reporting processes, this could be an excellent next step.

For a confidential discussion, please get in touch.

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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Apply now



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