
Head of Treasury
- Birmingham
- £90,000 per year
- Permanent
- Full-time
- Cash Forecasting & Liquidity Management
- Lead and enhance the 13-week direct cash flow forecasting process.
- Present forecasts and variance analysis to senior management and lenders.
- Oversee day-to-day liquidity management across multi-entity, multi-currency structures.
- Working Capital & Trade Finance
- Manage and expand existing working capital solutions (including factoring programmes).
- Ensure seamless alignment between trade credit insurance and receivables finance.
- Oversee bank guarantee management and compliance reporting.
- Treasury Relationship Management
- Own and develop key banking and financial partner relationships.
- Act as the primary liaison for credit insurers and credit rating agencies.
- Lead the company's credit rating strategy and manage ongoing agency engagements.
- Foreign Exchange Risk Management
- Manage and refine FX hedging strategies in response to market dynamics.
- Apply best-in-class practices for managing both transactional and translational FX risks.
- Policy, Governance & Reporting
- Maintain ownership of the group treasury policy, ensuring compliance with regulatory and lender requirements.
- Monitor financial covenants, interest costs, and treasury KPIs.
- Support FP&A and Accounting teams on treasury-related audits and reporting.
- Treasury Systems & Process Optimisation
- Lead ongoing development and improvement of the Treasury Management System (TMS).
- Drive automation and controls enhancement across treasury processes.
- Degree-qualified in Finance, Accounting, Economics, or a related field.
- Professional accounting or treasury qualification (e.g., ACT, ACA, ACCA) preferred.
- Extensive experience in a senior treasury leadership role, ideally within an international manufacturing or industrial environment.
- Strong track record in improving forecasting, liquidity management, and treasury controls.
- Excellent stakeholder management skills, with confidence presenting to senior leadership and lenders.
- Strong analytical mindset with the ability to translate complex financial data into actionable business insight.
- Hands-on experience leading TMS implementation or optimisation projects (Coupa experience advantageous but not essential).
- Competitive salary in the £90,000 to £100,000 range and benefits package.
- Hybrid working model (3 days onsite).
- Opportunity to lead a strategic treasury function.
- High-impact, commercially visible role with senior leadership exposure.