BSM Group are working an exclusive mandate with a London based C&I firm whom are searching for a proven treasurer to have complete ownership of the funding and treasury strategy.
The role will have you as the key Treasury contact to investors, internal stakeholders, and to be responsible for the efficient management and reporting of day to day Treasury operational activity including foreign exchange, global cash management, and all operational banking.
You’ll also be expected to provide valuable input into policy and board committee decisions.
You would ideally have been or be a Treasurer of a large firm (FTSE 250) with management experience from small to medium teams and be AMCT qualified.
If you require any more information, please contact email@example.com