Job Title:
Head of Treasury and Insurance
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Job Description:
The ideal candidate will drive the company's cash flow strategy, funding programs, and risk protection at the enterprise level. This includes shaping and delivering financing, insurance, and liquidity strategies.
* Shaping and delivering financing, insurance, and liquidity strategies
* Leading cash flow forecasting and daily liquidity management
* Negotiating funding programs and executing funding facilities
* Developing and placing the insurance program for the Group
* Managing the insurance claims team
* Creating commercial insights through a high-performing team
* Collaborating with the finance team and the wider organisation to support transformation
* Maintaining key relationships with banks, insurers, and financing partners
Required Skills and Qualifications:
The successful candidate will possess:
* 8+ years' experience in corporate treasury and managing insurance programs, including leadership roles
* Proficiency in cash flow, risk mitigation, and liquidity management
* Proven success in managing banking and insurer relationships
* Strategic thinking with strong commercial acumen
* CA or CPA qualification
* Clear and collaborative communication skills with relationship building focus
Benefits:
Join us as we take our next step in this exciting journey.