Head of Global Treasury
Surbiton, England, gb • Permanent • Competitive

Head of Global Treasury

Easy Apply
Surbiton, England, gb On-site Permanent 12 Applications
Competitive
Full-time
Posted 02 Sep 2026
Expires 02 Oct 2026

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.

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.

  • 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
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