About the Head Of Treasury & Structured Finance role
Head Of Treasury & Structured Finance jobs represent a pinnacle career path for senior financial professionals who excel at the intersection of strategic corporate finance, risk management, and capital markets. Individuals in this role are responsible for overseeing an organization’s entire funding strategy, liquidity framework, and interest rate risk exposure. They act as the chief architect of a company’s capital structure, ensuring that the business has access to the right mix of debt, equity, and structured financial instruments to support growth and operational stability.
A core component of this profession involves managing structured finance programs, including asset-backed securities (ABS) and other complex financing vehicles. Professionals in these roles design, execute, and monitor transactions that convert illiquid assets into tradable securities, working closely with investment banks, rating agencies, and institutional investors to optimize terms and ensure compliance. They also take ownership of asset-liability management (ALM), balancing the maturity profiles of assets and liabilities to mitigate risk and maximize returns.
Day-to-day responsibilities typically include leading a high-performing treasury team, influencing board-level decisions on capital allocation, and acting as a trusted internal advisor on cost of funds, hedging strategies, and regulatory capital requirements. These leaders must navigate a highly regulated environment, often liaising with central banks and financial regulators on liquidity coverage ratios, net stable funding ratios, and internal liquidity adequacy assessment processes (ILAAP). They also drive the development of new savings or funding propositions, ensuring that the organization’s deposit base and wholesale funding sources remain diversified and cost-effective.
Typical skills required for Head Of Treasury & Structured Finance jobs include deep expertise in corporate treasury operations, advanced financial modeling, and a thorough understanding of securitization and capital markets. Successful candidates usually hold professional qualifications such as the ACT (Association of Corporate Treasurers), ACA, or ACCA, and possess significant experience within regulated financial services, retail banking, or fintech environments. Strong stakeholder management skills are essential, as these professionals must communicate complex financial strategies to non-financial executives, investors, and regulators with clarity and confidence.
This profession demands a blend of strategic vision and hands-on execution. Whether leading a major refinancing, structuring a new ABS issuance, or optimizing the balance sheet for changing interest rate environments, Heads of Treasury and Structured Finance are critical to an organization’s financial health and long-term resilience. For ambitious treasury professionals, these roles offer the opportunity to shape corporate strategy, drive innovation in funding, and leave a lasting impact on the financial architecture of the business.