
Head of Treasury
- England
- Interim
- Part-time
- Lead treasury operations and strategy, including liquidity management, FX exposure, debt structuring, and bank relationships.
- Oversee short- and long-term cash forecasting and working capital management.
- Ensure compliance with treasury policies, controls, and regulatory requirements.
- Collaborate closely with Finance, FP&A, Investor Relations, and Executive leadership to guide decision-making and support business planning.
- Support the implementation of treasury improvements and advise on system upgrades where required.
- Provide robust reporting for leadership and Board-level visibility on treasury performance and risks.
- Proven experience as a Head of Treasury or equivalent, ideally in a retail or consumer-driven environment.
- Expertise in treasury operations, banking structures, cash flow forecasting, and financial risk management.
- Strong stakeholder management and the ability to communicate with confidence at executive level.
- Comfortable operating within a part-time structure and managing priorities across multiple areas with autonomy.
- Familiarity with IR35 regulations and operating within an inside IR35 contract.
- Day Rate: £1,000 per day (Inside IR35)
- Working Pattern: 2–3 days per week (flexible schedule)
- Location: Fully remote, with occasional travel to London
- Duration: 6-month initial term, likely
LogicMelon
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