Group Head of Treasury

Our International, European based FMCG client is seeking to hire a Group International Head of Treasury to report directly into the Group CFO. This role will involve significant travel Internationally to the Group HQ and will involve a full transformation of the Treasury Function Internationally. This will include Cash pooling, Implementation of a group-wide hedging procedure, Cashflow forecasting and overhauling of all group treasury policies and procedures.

Essential for this role is 10+ years in a Group Head of Treasury role in an International business with revenues of plus 500 million. You will have dealt with multiple currencies, Foster International banking relationships and be a Treasury subject matter expert on the European stage.

You will be degree educated with a formal Treasury qualification and a track record of driving change and efficiency in an International business. In addition, you will be able to demonstrate that you have led a small team to deliver excellence in the Treasury arena and be used to working with C-suite and the senior leadership team to implement what good looks like business grows, organically and via acquisition.

If you are seeking your next career move and would like to find out more, please apply.

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