Treasury Lead - New Function - Fashion
other jobs Michael Page Finance
Added before 2 Days
- England,London,City of London
- Full Time, Permanent
- £60,000 - £75,000 per annum, inc benefits
Job Description:
This is an exciting chance to step into a newly created role for a high-growth, international retailer. You’ll take ownership of critical treasury operations including cash flow forecasting, cash management, strengthening financial controls, and safeguarding risk across a retail environment.
Client Details
Our client is a global brand with strong heritage roots, it has evolved from performance-driven origins into a premium, design-led business.
Operating across international markets, the organisation blends quality, innovation, and distinctive style, while maintaining a focus on growth, brand identity, and a high-end customer experience.
Based in London, this is a unique opportunity to shape treasury decision-making, drive operational excellence, and influence business growth at scale within an ambitious organisation.
Description
*Manage cash flow forecasting and ensure optimal liquidity levels for the business.
*Oversee daily treasury operations, including bank account management and reconciliations.
*Develop and implement risk management strategies to mitigate financial exposure.
*Ensure compliance with regulatory requirements and internal policies related to treasury activities.
*Collaborate with internal stakeholders to align treasury strategies with business objectives.
*Monitor and report on foreign exchange positions and recommend hedging solutions when necessary.
*Maintain strong relationships with banking partners and other financial institutions.
*Provide regular updates and reports to senior management on treasury performance and key metrics.
Profile
*A degree in accounting, finance, or a related field.
*Retail or FMCG industry background preferred
*Strong understanding of cash flow management and working capital
*Solid knowledge of AP processes and financial controls
*Experience with financial systems and treasury management tools.
*Excellent analytical and problem-solving skills.
*Ability to work collaboratively with cross-functional teams and external stakeholders.
*Strong communication skills with a focus on delivering clear and concise reports.
Job Offer
*Competitive salary plus a discretionary 10% bonus.
*Hybrid working policy with a 50/50 split between London and remote working.
*Comprehensive medical insurance for peace of mind.
*Generous 50% employee discount on products within the retail portfolio.
*Standard working hours of 9am to 5pm, or as agreed with your manager.
This is an excellent opportunity to join a growing organisation in London and make a tangible impact in the new Treasury department.
Client Details
Our client is a global brand with strong heritage roots, it has evolved from performance-driven origins into a premium, design-led business.
Operating across international markets, the organisation blends quality, innovation, and distinctive style, while maintaining a focus on growth, brand identity, and a high-end customer experience.
Based in London, this is a unique opportunity to shape treasury decision-making, drive operational excellence, and influence business growth at scale within an ambitious organisation.
Description
*Manage cash flow forecasting and ensure optimal liquidity levels for the business.
*Oversee daily treasury operations, including bank account management and reconciliations.
*Develop and implement risk management strategies to mitigate financial exposure.
*Ensure compliance with regulatory requirements and internal policies related to treasury activities.
*Collaborate with internal stakeholders to align treasury strategies with business objectives.
*Monitor and report on foreign exchange positions and recommend hedging solutions when necessary.
*Maintain strong relationships with banking partners and other financial institutions.
*Provide regular updates and reports to senior management on treasury performance and key metrics.
Profile
*A degree in accounting, finance, or a related field.
*Retail or FMCG industry background preferred
*Strong understanding of cash flow management and working capital
*Solid knowledge of AP processes and financial controls
*Experience with financial systems and treasury management tools.
*Excellent analytical and problem-solving skills.
*Ability to work collaboratively with cross-functional teams and external stakeholders.
*Strong communication skills with a focus on delivering clear and concise reports.
Job Offer
*Competitive salary plus a discretionary 10% bonus.
*Hybrid working policy with a 50/50 split between London and remote working.
*Comprehensive medical insurance for peace of mind.
*Generous 50% employee discount on products within the retail portfolio.
*Standard working hours of 9am to 5pm, or as agreed with your manager.
This is an excellent opportunity to join a growing organisation in London and make a tangible impact in the new Treasury department.
Job number 3726218
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Company Details:
Michael Page Finance
Company size: 5,000 employees
Industry: Accountancy (Qualified)
Michael Page Finance has been helping to shape successful careers and placing top talent into their dream roles since 1976. We specialise in the perma...