Group Treasurer
New Today
A standout opportunity has arisen with a high-quality, well-established technology business based in Hampshire. This is a senior and highly visible leadership role within the Group, offering genuine influence at executive level and the chance to shape the future direction of the organisation’s treasury strategy. Reporting directly to the CFO, you will take full ownership of the Group’s treasury operations, capital structure and funding agenda, acting as a trusted partner to the Board and senior leadership team.
As Group Treasurer, you will develop and lead a best-in-class treasury function, creating a strategic framework that supports sustainable growth, financial resilience and organisational ambition. This is not a role with a pre-defined playbook, instead, it offers the scope to enhance, evolve and embed robust processes, policies and strategic thinking across the Group.
Key Responsibilities
Capital Structure Leadership: Take full responsibility for defining and managing the Group’s capital structure and funding framework, ensuring it remains aligned with business strategy, growth objectives and market conditions.
Risk & Exposure Management: Actively manage interest rate and inflation exposure across both financing and trading activities, ensuring effective hedging strategies and financial protection are in place.
Treasury Risk Governance: Design, implement and oversee treasury risk policies covering counterparty risk, FX exposure, interest rate management and liquidity risk, ensuring strong governance and compliance across all markets and jurisdictions.
Investor & Market Engagement: Serve as the primary point of contact for credit investors, overseeing ongoing investor relations, quarterly reporting, external communications and market engagement to ensure transparency and confidence in the Group’s financial strategy.
Debt Strategy & Refinancing: Lead the Group’s debt strategy, managing refinancing activity, covenant compliance and lender relationships, ensuring appropriate funding capacity and supporting long-term investment and growth plans.
Strategic Partnership: Work closely with the CFO and wider executive leadership team, providing insight, challenge and strategic direction on treasury matters, financing decisions and wider corporate initiatives.
Team & Capability Development: Shape and develop a high-performing treasury function, ensuring the right tools, processes, controls and capability are in place to support a sophisticated and future-ready treasury environment.
About You
The ideal candidate will be an experienced senior treasury leader with a proven track record of operating at Group level within a complex, fast-moving organisation. You will bring strong technical expertise, strategic insight and commercial acumen, alongside the confidence to influence at Board and investor level.
Demonstrable experience as a number one in Treasury or equivalent senior leadership role
Deep understanding of capital markets, corporate financing and treasury operations
Strong risk governance mindset with the ability to build scalable and robust frameworks
Proven ability to lead stakeholder relationships, including lenders, investors and advisors
Professional qualifications such as AMCT strongly preferred; ACA or ACCA also highly valued
Collaborative, credible and commercially minded, with the ability to operate both strategically and hands‑on.
Working Model
This role offers hybrid working, with two days per week onsite in Hampshire, alongside flexibility to balance office presence with effective remote working.
Please apply with a CV for to learn more.
#J-18808-Ljbffr
- Location:
- England, United Kingdom
- Job Type:
- FullTime