Group Treasurer
Full-time Mid-Senior LevelJob Overview
Position Overview
The Group Treasurer will be responsible for defining and executing the global treasury strategy, ensuring optimal liquidity, funding, and risk management across the Group. This senior leadership role requires extensive international experience in treasury management within large, complex organizations. The Group Treasurer will work closely with the Group CFO, Corporate Officer, and regional teams to establish a robust treasury framework that supports business growth while safeguarding financial stability.
Key Responsibilities:
Treasury Strategy & Policy
- Build and maintain relationships with banks & financial institutions
- Establish group-wide treasury policies, procedures, and governance frameworks
- Lead and develop the Group Treasury team across multiple geographies
FX & Hedging
- Develop and implement appropriate FX / hedging strategies
Liquidity & Cash Management (with the support of 1 FTE)
- Drive global cash flow planning, forecasting, and liquidity management
- Optimize global cash pooling, intercompany funding, and repatriation strategies.
- Evaluate and roll out “new” cash management methods such as stable coins / cryptos
- Deployment of factoring / reverse factoring and other alternative short term funding methods
Funding & Capital Markets
- Participate with the Group CFO the funding strategy & mix to secure a cost/ risk effective access to funds
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