A well-established, institutionally backed infrastructure platform is looking to appoint a Treasury Manager to join its capital markets team. The role will support a portfolio of assets across multiple international jurisdictions, helping shape and execute the platform's financing strategy. Reporting to the Director, Capital Markets, you will:
Manage existing loan and bond facilities and support new financing transactions from origination through execution.
Engage with lenders, investors and rating agencies to maintain and strengthen relationships and optimise funding options.
Contribute to ESG and sustainability-linked financing initiatives and capital planning across the platform.
Prepare materials for executive, board and sponsor reporting.
The role is strategic and transaction-focused. Operational treasury activities — including day-to-day cash management, payments, hedging, and accounting — are handled by supporting adjacent teams.
Candidate Profile
The role is suited to a professional with 3–8 years' experience in capital markets, project finance, infrastructure or institutional/corporate banking. You should have a solid understanding of credit, debt structuring, and financing execution across loans and bonds. Ideally this will be within the real assets sector.
Experience supporting or executing debt transactions for infrastructure, digital assets, real estate or development platforms will be highly regarded. Familiarity with ESG or sustainability-linked financing is advantageous.
The ideal candidate is commercially minded, detail-oriented, and comfortable operating in a global, fast-moving environment. You will be confident working directly with senior internal and external stakeholders on complex, high-value financings. The team is highly collaborative and committed to high performance.
To discuss this mandate in confidence, please reach out to Harriet King via email