- Develop and implement a robust treasury strategy aligned with the group's financial objectives.
- Manage liquidity to ensure the availability of funds to meet operational and strategic requirements. Including ownership of short, mid and long‑term cash flow forecasting.
- Lead the development and optimization of cash management systems and processes.
- Monitor and manage banking covenants to ensure compliance and avoid breaches.
- Build and maintain strong relationships with banks, financial institutions, and rating agencies.
- Monitor and manage foreign exchange exposures across the group.
- Design and implement effective hedging strategies to mitigate currency risk.
- Ensure compliance with regulatory requirements in multi‑currency operations.
- Establish and monitor internal controls and policies related to treasury activities.
- Collaborate with legal and compliance teams to ensure adherence to local and international regulations.
- Prepare and present risk assessments and recommendations to the Board and Executive Team.
- Build and lead a high‑performing offshore treasury team, providing mentorship and fostering a culture of continuous improvement.
- Lead the drive to create a culture of commercial awareness and financial management across the company.
- Act as a key advisor to the CFO and senior management on treasury‑related matters.
- Lead and negotiate a refinancing of company total debt structure to be completed post‑company strategic activity.
- Design, implement and establish a revised Treasury & AP function to take the business into the next stage of its strategic journey.
- Act as SME for Treasury & AP in a company‑wide new ERP implementation.
- Proven experience in a senior treasury role within an international organization.
- Deep understanding of cashflow forecasting techniques and liquidity management is critical. Especially in cash constrained / highly leveraged environment.
- Experience in monitoring and managing banking covenants in a leveraged business environment.
- Expertise in multi‑currency operations and developing effective hedging strategies.
- Strong track record of managing banking relationships and executing refinancing exercises.
- Extensive experience in leading complex refinancing initiatives.
- Strong analytical and strategic thinking skills, with the ability to anticipate and manage financial risks.
- Excellent negotiation and relationship‑building skills with external financial partners.
- Advanced understanding of financial instruments, market trends, and regulatory environments.
- Effective leadership and team management skills, with the ability to work collaboratively across geographies.
- A degree in Finance, Economics, or a related field.
- Master's degree or professional qualification, such as CFA or ACT, is highly desirable.
-
+We are seeking an experienced Group Head of Treasury to drive financial stability and growth in our international company. The role requires strategic thinking, analytical skills, and effective leadership to manage liquidity, currency risks, and debt obligations. · +Develop and ...
Abingdon-On-Thames, England1 month ago
-
We are seeking an experienced Group Head of Treasury to drive financial stability and growth in our international company operating across multiple jurisdictions and sectors.The role is integral to the management of our liquidity, currency risks, and debt obligations. · ...
Vale of White Horse1 month ago
-
We are looking for a Group Head of Treasury to drive financial stability and growth in our international company. The role requires strategic treasury management, debt and banking relationships, multi-currency and hedging management, risk and compliance, team leadership and devel ...
Abingdon-On-Thames, England1 month ago
-
We are an international company operating across multiple jurisdictions and sectors.We require a strategic and experienced Group Head of Treasury to drive financial stability and growth. · Strong analytical and strategic thinking skills, with the ability to anticipate and manage ...
Vale of White Horse1 month ago
-
We are an international company operating across multiple jurisdictions and sectors. With a complex multi-currency structure and substantial leverage, we require a strategic and experienced Group Head of Treasury to drive financial stability and growth. · The role is integral to ...
Abingdon1 month ago
-
We have an exciting opportunity for a confident and highly motivated Credit Controller with excellent attention to detail to join our team. · ...
Abingdon OX RL1 month ago
-
Department: Core - Finance · Location: Oxford, UK · Description · As the business continues to experience fast international growth, the finance team are looking for an experienced Treasury Accountant. Reporting into the Head of Group Reporting, the Treasury Accountant will manag ...
Oxford2 days ago
-
+ Manage the Group's daily cash position across multiple currencies, entities and banking partners,+ Prepare, maintain and continuously improve a rolling 13-week cashflow forecast,+ Produce longer-term cash forecasts to support budgeting, · + Work closely with FP&A, management ac ...
Oxford3 weeks ago
-
The finance team are looking for an experienced Treasury Accountant. The role requires a solid understanding of both the cash and accounting aspects of treasury.This is a fantastic time to be joining Aurora Energy Research. · ...
Oxford3 weeks ago
-
+ Manage the Group's daily cash position across multiple currencies, entities and banking partners. + Produce longer-term cash forecasts to support budgeting. + Review payment runs and support payment approvals in line with short-term cash forecasts. ...
Oxford2 weeks ago
-
Aurora Energy Research is looking for an experienced Treasury Accountant to manage the day-to-day treasury activities of the Group. · ...
Oxford, England3 weeks ago
-
The finance team are looking for an experienced Treasury Accountant to manage the day-to-day treasury activities of the Group. The role requires a solid understanding of both the cash and accounting aspects of treasury. · ...
Oxford, England3 weeks ago
-
+Job summary · We are looking for an EMEA Financial Controller to join our finance team at an exciting stage of the company's growth. · +ResponsibilitiesOwn all accounting and financial reporting for European entitiesEnsure timely and accurate completion of month-end close activi ...
Oxford3 weeks ago
-
Christ Church is seeking a proactive and efficient Senior Management Accountant to support the Treasurer and Chief Investment Officer in a busy environment. · ...
Oxford OX DP1 month ago
-
The Financial Controller provides day-to-day operational oversight of the Finance Bursary team and is responsible for the effective management of the College's day-to-day financial operations. · ...
Oxford £48,889 - £58,035 (GBP) Full time2 weeks ago
-
Tax & Treasury Recruitment have been engaged by a growing business to find a Corporate Tax focused Assistant Manager to join their team based in Slough. · You will be joining a developing tax team that has been built to support the growth of the wider business. · This is a great ...
Reading7 hours ago
-
+ Develop your career in a supportive company · + Work as part of an enthusiastic team · + Join the Treasury function and help establish best-practice capabilities across liquidity management, risk management, systems and controls. ...
Marlow1 month ago
-
We employ circa 8,000 people globally with our UK office functions being located in Maidenhead Head Office Sheffield Customer Solutions Hub London Digital and a further office in Gibraltar which is home to our existing Rank Digital function. · We are evolving as a business and ad ...
Maidenhead3 weeks ago
-
This role requires a Head of Financial Modelling to join the high-performing Finance team at one of the UK's leading organisations. The successful candidate will own the Group’s Five-Year Plan process and develop a dynamic financial model. · Key Responsibilities: · Lead the devel ...
Basingstoke £110,000 - £113,000 (GBP) per year6 days ago
-
We are working with a prestigious preparatory school on the recruitment of an experienced Accountant (Tax and Treasury) These kinds of roles don't come around often, with the feeling of making a difference to young people's lives being highly coveted. · Your work will be centred ...
Reading1 month ago
-
As one of the world's leading independent global investment firms, Invesco is dedicated to rethinking possibilities for our clients. · ...
Oxfordshire, England3 weeks ago
Group Head of Treasury - Abingdon - RM plc
Description
Overview
Would you like to help enrich the lives of learners around the world?
At RM, we've been pioneers of education technology since . We provide technology and resources to the education sector, supporting over 10 million students worldwide. We work with over28, schools, nurseries, and education trusts in countries to deliver customer‑centric solutions that improve education outcomes.
What we do helps learners at all stages of their lives, from preschool to higher education and professional qualification; we partner with schools, examination boards, central governments and other professional institutions to enrich the lives of learners.
RM Group operates through three businesses: Technology (Managed Services, Software and Infrastructure for Schools), Assessment (Software and Services) and TTS (Educational Resources).
Visit us here to find out more.
We are an international company operating across multiple jurisdictions and sectors. With a complex multi‑currency structure and substantial leverage, we require a strategic and experienced Group Head of Treasury to drive financial stability and growth. The role is integral to the management of our liquidity, currency risks, and debt obligations, ensuring compliance with banking covenants and maintaining strong relationships with financial institutions.
We welcome applications from individuals seeking contract, FTC or part‑time opportunities.
Responsibilities
Strategic Treasury Management:
Debt and Banking Relationships:
Multi‑Currency and Hedging Management:
Risk and Compliance:
Team Leadership and Development:
Experience
Essential Experience:
Skills and Attributes:
Qualifications:
What's in it for you?
At RM we have My Work Blend @RM which provides office‑based colleagues with multi‑location and hybrid working options. As well as your office base, you can spend a proportion of your time working at other locations that suit your role and your life, including home, other offices, customer sites, distribution centres or on the move. We encourage you to discuss arrangements for this role with your potential line manager during the recruitment process.
As well as a competitive salary and our core benefits package which includes private medical healthcare, life assurance and a Group Personal Pension Plan with higher contribution levels available, some roles are also eligible for a performance‑related bonus. There are lots of voluntary benefits too. You could buy additional annual leave, join our dental plan, sign up for a health assessment, or take part in our cycle‑to‑work scheme. You could even earn yourself an extra bonus for successfully recommending a friend or family member for a position within RM.
To better reflect the society that we serve, we're committed to building a diverse workforce and creating an inclusive and welcoming environment for all. To achieve this, we create teams of talented people from different backgrounds and experiences and strive to be a business where our people can bring their whole selves to work. We also want to make the recruitment process as inclusive as possible for everyone. Should you require additional support with your application or through the interview process, please contact us at .
Unfortunately, we are unable to offer visa sponsorship for this role.
#J-18808-Ljbffr
-
Group Head of Treasury
Only for registered members Abingdon-On-Thames, England
-
Group Head of Treasury
Only for registered members Vale of White Horse
-
Group Head of Treasury
Only for registered members Abingdon-On-Thames, England
-
Group Head of Treasury
Only for registered members Vale of White Horse
-
Group Head of Treasury
Only for registered members Abingdon
-
Senior Credit Controller
Only for registered members Abingdon OX RL
-
Temporary Treasury Accountant
Only for registered members Oxford
-
Interim Treasury Accountant
Only for registered members Oxford
-
Job template
Only for registered members Oxford
-
Interim Treasury Accountant
Only for registered members Oxford
-
Job template
Only for registered members Oxford, England
-
Interim Treasury Accountant
Only for registered members Oxford, England
-
EMEA Financial Controller
Only for registered members Oxford
-
Senior Management Accountant
Only for registered members Oxford OX DP
-
Financial Controller
Full time Only for registered members Oxford
-
In House Assistant Tax Manager
Only for registered members Reading
-
Senior Treasury Analyst
Only for registered members Marlow
-
Treasury Manager
Only for registered members Maidenhead
-
Head of Financial Modelling
Stanton House- Basingstoke
-
Accountant
Only for registered members Reading
-
Prudential Regulatory Manager
Only for registered members Oxfordshire, England