Corporate Treasurer
other jobs Inventum Group
Added before 1 Days
- England,London
- full-time
- £700 - £900 per day
Job Description:
Job Title: Corporate Treasurer
Location: London / Hybrid
Contract: Temporary (3 months)
Rate: £700-900 per day
Start Date: ASAP
Overview:
This pivotal role offers an unparalleled chance to contribute your expertise as a Corporate Treasurer with a background in the public sector. You’ll oversee treasury operations, manage financial risks, and develop strategies to enhance the organisation’s global financial efficiency.
Key Responsibilities:
*Lead cash flow forecasting, liquidity management, and investment activities.
*Ensure compliance with financial regulations and treasury policies.
*Manage foreign exchange exposures and optimise global cash operations.
*Build and maintain strategic relationships with financial institutions and stakeholders.
*Provide expert advice on treasury policies and risk management strategies.
Essential Skills and Experience:
*Demonstrable experience in public sector treasury management.
*Strong skills in cash management, risk mitigation, and foreign exchange.
*Proven leadership and stakeholder engagement capabilities.
*Professional qualifications (e.g., ACT, ACA, ACCA, CIMA).
*Excellent analytical and organisational abilities.
Why Apply?
*Join a globally respected organisation and make a meaningful impact.
*Work on high-profile projects in a critical leadership role.
*Benefit from a competitive day rate and flexible hybrid working arrangements.
If you’re ready to bring your expertise to a role with real influence, apply now for an immediate start!
Inventum Group is acting as an Employment Business in relation to this vacancy.
Location: London / Hybrid
Contract: Temporary (3 months)
Rate: £700-900 per day
Start Date: ASAP
Overview:
This pivotal role offers an unparalleled chance to contribute your expertise as a Corporate Treasurer with a background in the public sector. You’ll oversee treasury operations, manage financial risks, and develop strategies to enhance the organisation’s global financial efficiency.
Key Responsibilities:
*Lead cash flow forecasting, liquidity management, and investment activities.
*Ensure compliance with financial regulations and treasury policies.
*Manage foreign exchange exposures and optimise global cash operations.
*Build and maintain strategic relationships with financial institutions and stakeholders.
*Provide expert advice on treasury policies and risk management strategies.
Essential Skills and Experience:
*Demonstrable experience in public sector treasury management.
*Strong skills in cash management, risk mitigation, and foreign exchange.
*Proven leadership and stakeholder engagement capabilities.
*Professional qualifications (e.g., ACT, ACA, ACCA, CIMA).
*Excellent analytical and organisational abilities.
Why Apply?
*Join a globally respected organisation and make a meaningful impact.
*Work on high-profile projects in a critical leadership role.
*Benefit from a competitive day rate and flexible hybrid working arrangements.
If you’re ready to bring your expertise to a role with real influence, apply now for an immediate start!
Inventum Group is acting as an Employment Business in relation to this vacancy.
Job number 1716588
metapel
Company Details:
Inventum Group
Company size: 10–19 employees
Industry: Recruitment Consultancy
Inventum Group is a talent consultancy providing inclusive and sustainable people solutions.??We deliver strategic consulting, executive search, and r...