Treasury & Risk Manager
- Location:London
- Job Industry:Accountancy
- Reference:59534_1784307553
- Job Type:
- Skills:Treasury cash liquidity ACT risk
- Salary:£100000 - £120000 per annum + Plus 20% bonus, shares & benefits
Head of Treasury & Risk
Location: London (Hybrid)
Salary: £100,000 – £120,000 + Bonus + Equity
An exciting opportunity has arisen for an accomplished Head of Treasury & Risk to join a rapidly expanding, investor-backed organisation operating at the forefront of AI and digital infrastructure. With significant growth across Europe and North America, the business is seeking its first dedicated treasury leader to establish and develop a best-in-class treasury function.
Reporting to the VP of Finance, you will play a critical role in overseeing liquidity, funding, banking relationships and financial risk management while supporting the company’s ambitious expansion plans and long-term readiness for a public market event.
The Opportunity:
As the treasury lead, you will be responsible for implementing the frameworks, controls and processes required to support a fast-growing international business operating across multiple legal entities and currencies. You will work closely with senior leaders to ensure strong cash management, effective risk mitigation and scalable treasury operations.
Key Responsibilities:
- Lead group-wide cash management and liquidity planning activities.
- Develop and maintain rolling cash flow forecasts to support strategic decision-making.
- Manage treasury operations across multiple currencies, including GBP, EUR and USD.
- Review and enhance cash deployment strategies, including short-term investment solutions.
- Monitor and manage financial risks relating to foreign exchange, interest rates and liquidity.
- Design and implement appropriate hedging strategies where required.
- Act as the primary point of contact for banking partners, overseeing account structures, mandates and payment governance.
- Support debt financing activities across both corporate and project funding facilities.
- Oversee lender communications, covenant compliance and financing reporting requirements.
- Establish treasury policies, control frameworks and governance procedures.
- Build scalable treasury infrastructure aligned to future listed-company standards and regulatory requirements.
- Produce insightful treasury reporting for executive leadership, investors and Board stakeholders.
About You:
You are a technically strong treasury professional who thrives in dynamic environments and enjoys creating processes, controls and structure where none currently exist. You combine analytical capability with commercial awareness and are comfortable working closely with senior decision-makers.
- Proven experience within a corporate treasury environment.
- Professional treasury qualification (ACT/AMCT) and/or accounting or finance qualification such as ACA, ACCA, CIMA or CFA.
- Proven experience managing international cash positions and multi-currency exposures.
- Solid understanding of treasury operations, liquidity management and investment of surplus funds.
- Experience developing treasury frameworks, policies and controls within evolving organisations.
- Strong stakeholder management and relationship-building skills.
- A proactive, hands-on approach with the ability to operate effectively in a fast-paced business.
What’s in It for You?
- Competitive salary, bonus and equity package.
- Hybrid working model with a London base.
- Rare opportunity to establish and develop a treasury function from its inception.
- Significant exposure to executive stakeholders and strategic decision-making.
- The chance to contribute to the growth journey of one of the most exciting digital infrastructure platforms globally.


