Join a globally recognised manufacturing leader to take ownership of financial risk across FX, commodities, and funding, delivering insight and shaping hedging and capital strategies. Play a key role in driving treasury performance and governance, partnering with senior stakeholders while helping evolve a forward-looking, high-impact treasury function
Client Details
- A globally recognised industrial leader in the manufacturing space combining decades of expertise with a clear ambition to shape a more sustainable, forward-looking future
- A truly international business, bringing together a diverse workforce and serving customers across major global markets, with products that play a vital role in everyday life
- A culture that values fresh thinking and collaboration where people are empowered to challenge the status quo and contribute to meaningful, visible change
- Significant investment in building a high-impact UK, US & EU Treasury hub, offering the chance to be part of a function being shaped from the ground up within a wider global network
- A rare opportunity to join during a period of momentum and transformation, where you can influence how the function evolves, gain broad exposure, and make a genuine mark on an international business
Description
- Lead the identification and monitoring of financial risks across FX, interest rates, commodities, and counterparty exposure, supporting the execution of hedging strategies to protect the business
- Deliver high-quality analysis on commodity exposures, including scenario modelling and sensitivity analysis, with clear insight provided to senior stakeholders on potential impacts to cashflow and performance
- Stay close to market movements, proactively assessing trends and translating them into actionable recommendations for the wider business
- Support regional funding activities, including bank facilities, trade finance, and liquidity solutions, while contributing to capital structure planning
- Build and manage key banking relationships, supporting negotiations on terms, pricing, and access to funding
- Oversee treasury controls across the function, ensuring strong governance and alignment with internal policies
- Monitor and review intercompany financing arrangements, ensuring compliance while identifying opportunities for optimisation
- Produce clear, value-add reporting and dashboards, giving senior leadership visibility over risk, funding, and treasury performance
- Play an active role in improving treasury processes, systems, and controls as the function continues to evolve
Profile
- Experience in corporate finance, treasury, or structured financing, with exposure to funding, capital markets, or financial instruments
- Strong analytical and modelling skills, with a good understanding of FX risk, interest rates, and commodity exposures
- Knowledge of hedging strategies and financial instruments used to manage market and counterparty risk
- Good awareness of financial regulations, governance, and control frameworks
- Advanced Excel skills and familiarity with ERP systems (e.g. SAP) and treasury tools
- Confident communicator, able to engage with banks, external advisors, and internal stakeholders across regions
- Experience working in an international, cross-border environment is advantageous
- Detail-focused with a proactive approach to identifying and managing financial risks and opportunities
Job Offer
- £60,000-£76,000 base salary + 10% discretionary bonus
- Hybrid working (3 days per week in London)
- Permanent role with strong development opportunities
- Supportive, collaborative culture
- Opportunity to join during a period of growth and play a visible role in shaping the Treasury function