 
        
        An exciting opportunity has arisen for an experienced
Head of Treasury
to join a fast-growing and dynamic financial services organisation. This leadership role is pivotal in ensuring the efficiency, compliance, and strategic development of the company's treasury function.
Key Responsibilities
 * Lead and oversee the Treasury Operations team, ensuring smooth day-to-day operations.
 * Manage cashflow, liquidity, and funding activities in line with business objectives.
 * Ensure compliance with regulatory and governance requirements.
 * Develop, implement, and maintain treasury policies, processes, and systems.
 * Partner with senior executives and stakeholders to support strategic growth initiatives.
 * Drive automation and continuous improvement within the treasury function.
 * Provide insightful reporting and analysis to support decision-making.
About You
 * Proven experience in a Treasurer or Head of Treasury role within financial services, banking, or a related sector.
 * Strong understanding of liquidity management, cashflow forecasting, securitization and funding strategies.
 * Excellent knowledge of regulatory and compliance requirements.
 * Skilled in leading high-performing teams and influencing senior stakeholders.
 * Analytical mindset with strong problem-solving and decision-making skills.
 * Comfortable operating in a fast-paced, evolving environment.
Why Join Us?
 * Be part of a forward-thinking organisation experiencing significant growth.
 * Influence and shape the future of the treasury function.
 * Collaborative, supportive, and innovative workplace culture.
 * Competitive salary and benefits package.