Our Client is a PE backed International business and seeks to hire a Head of Treasury based in Prague, in their Global Group HQ. This is a 3-4 months contract covering on an interim basis before the permanent member of staff starts. You will be a seasoned International Treasurer with a global remit across all treasury instruments. You will manage a team of 7 and report directly to the Group CFO. You will manage the day to day cash flow and forecasting, manage FX exposures, transactional risks and related hedging programs. Ideally you will be Prague based for when Covid-19 allows office working, but we may look into an international candidate who will work remotely and travel to Prague occasionally when post Covid-19 travel allows. The role is seeking a professional Interim keen on jumping into a global head of seat as soon as possible. Rates between €800 and €1300 per day for the right candidate, plus expenses.
If you are interested and available please apply without delay.
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