CrawlJobs Logo

Head of Treasury & Structured Finance

butlerrose.com Logo

Butler Rose

Location Icon

Location:
United Kingdom , Milton Keynes

Category Icon
Category:

Job Type Icon

Contract Type:
Not provided

Salary Icon

Salary:

100000.00 - 115000.00 GBP / Year

Job Description:

This is a rare opportunity for a senior treasury professional to step into a highly visible leadership role within a fast-growing UK financial services business, at a genuinely exciting point in their journey. Reporting into the CFO, you'll take full ownership of funding, liquidity and interest rate risk strategy, while playing a pivotal role in the build-out and scale of a savings proposition that is central to the organisation's growth plans over the next 18 months. Alongside this, you'll lead a well-established structured finance and ABS programme, working closely with investors, banks, regulators and rating agencies. This role suits someone who enjoys operating at the intersection of strategy and execution. You'll lead and develop a high-performing treasury team, influence board-level decisions, and act as a trusted advisor across the wider business on cost of funds, hedging, ALM and liquidity planning. There is real scope here to shape the future treasury landscape, challenge existing approaches and leave a lasting legacy.

Job Responsibility:

  • Take full ownership of funding, liquidity and interest rate risk strategy
  • Play a pivotal role in the build-out and scale of a savings proposition
  • Lead a well-established structured finance and ABS programme
  • Work closely with investors, banks, regulators and rating agencies
  • Lead and develop a high-performing treasury team
  • Influence board-level decisions
  • Act as a trusted advisor across the wider business on cost of funds, hedging, ALM and liquidity planning

Requirements:

  • Senior treasury professional
  • Experience from a retail savings bank or regulated financial services environment
  • Strong experience across treasury, liquidity risk and ILAAP
  • Professional qualifications such as ACT, ACA or ACCA are welcomed
  • Confidence to engage senior stakeholders internally and externally
What we offer:
  • 27 days holiday
  • Attractive bonus incentive
  • Car scheme for you and family
  • Private medical insurance
  • Pension & life assurance
  • Hybrid working (3 days office / 2 days home)
  • Further flexible benefits

Additional Information:

Job Posted:
January 23, 2026

Employment Type:
Fulltime
Work Type:
Hybrid work
Job Link Share:

Looking for more opportunities? Search for other job offers that match your skills and interests.

Briefcase Icon

Similar Jobs for Head of Treasury & Structured Finance

Treasury & Tax Head

Industry leading company with a strong global presence and a commitment to growt...
Location
Location
Japan , Tokyo
Salary
Salary:
10000000.00 - 18000000.00 JPY / Year
https://www.randstad.com Logo
Randstad
Expiration Date
December 19, 2034
Flip Icon
Requirements
Requirements
  • Minimum 10 years of experience in treasury management, with at least 2 years in a leadership role
  • Experience in treasury management, financial regulations, Forex, and corporate finance
  • Knowledge of financial regulations (preferably with experience in tax laws)
  • Proven track record in working with and managing relationships with financial institutions, financial strategy, risk management, and cost optimization
  • Strong communication, problem-solving skills and leadership
  • Ability to work in a fast-paced, global environment and manage cross-functional teams
  • Bachelor's degree or above degree holder
Job Responsibility
Job Responsibility
  • Lead the treasury function, including cash management, liquidity forecasting, and funding strategies
  • Oversee tax planning, compliance, and reporting for local and international operations
  • Collaborate with senior management on strategic financial initiatives and capital structure optimization
  • Ensure adherence to tax regulations and financial compliance standards across multiple jurisdictions
  • Develop and maintain relationships with financial institutions, auditors, and tax advisors
  • Manage and mitigate financial risks related to currency, interest rates, and liquidity
  • Provide strategic insights and reporting to the executive team on financial health, cash flows, and tax strategies
What we offer
What we offer
  • Health insurance
  • Employees' pension insurance
  • Employment insurance
  • Saturdays, Sundays, and public holidays off
  • Fulltime
Read More
Arrow Right

Head of Treasury & Structured Finance

This is a rare opportunity for a senior treasury professional to step into a hig...
Location
Location
United Kingdom , Milton Keynes
Salary
Salary:
100000.00 - 115000.00 GBP / Year
butlerrose.com Logo
Butler Rose
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Senior treasury professional
  • Experience from a retail savings bank or regulated financial services environment
  • Strong experience across treasury, liquidity risk and ILAAP
  • Professional qualifications such as ACT, ACA or ACCA are welcomed
  • Confidence to engage senior stakeholders internally and externally
Job Responsibility
Job Responsibility
  • Take full ownership of funding, liquidity and interest rate risk strategy
  • Play a pivotal role in the build-out and scale of a savings proposition
  • Lead a well-established structured finance and ABS programme
  • Work closely with investors, banks, regulators and rating agencies
  • Lead and develop a high-performing treasury team
  • Influence board-level decisions
  • Act as a trusted advisor across the wider business on cost of funds, hedging, ALM and liquidity planning
What we offer
What we offer
  • 27 days holiday
  • attractive bonus incentive
  • car scheme for you and family
  • private medical insurance
  • pension & life assurance
  • hybrid working (3 days office / 2 days home)
  • further flexible benefits
  • Fulltime
Read More
Arrow Right

Head of Treasury & Structured Finance

This is a rare opportunity for a senior treasury professional to step into a hig...
Location
Location
United Kingdom , Milton Keynes
Salary
Salary:
100000.00 - 115000.00 GBP / Year
butlerrose.com Logo
Butler Rose
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Senior treasury professional
  • Experience from a retail savings bank or regulated financial services environment
  • Strong experience across treasury, liquidity risk and ILAAP
  • Professional qualifications such as ACT, ACA or ACCA are welcomed
  • Confidence to engage senior stakeholders internally and externally
Job Responsibility
Job Responsibility
  • Take full ownership of funding, liquidity and interest rate risk strategy
  • Play a pivotal role in the build-out and scale of a savings proposition
  • Lead a well-established structured finance and ABS programme
  • Work closely with investors, banks, regulators and rating agencies
  • Lead and develop a high-performing treasury team
  • Influence board-level decisions
  • Act as a trusted advisor across the wider business on cost of funds, hedging, ALM and liquidity planning
What we offer
What we offer
  • 27 days holiday
  • Attractive bonus incentive
  • Car scheme for you and family
  • Private medical insurance
  • Pension & life assurance
  • Hybrid working (3 days office / 2 days home)
  • Further flexible benefits
  • Fulltime
Read More
Arrow Right

Head of Finance/Treasury

This role sits at the intersection of strategy and hands-on delivery, owning fin...
Location
Location
Salary
Salary:
Not provided
vankaizen.com Logo
Van Kaizen
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Experience at Head of Finance / Treasury level or equivalent
  • Crypto & casino experience is a must
  • Background spanning both startup and more structured environments highly desirable
  • Broad exposure across multiple areas of finance (accounting, treasury, operations)
  • Experience operating as a finance generalist rather than a narrow specialist
  • Strong treasury expertise with a practical, hands-on mindset
  • Proven people manager with experience leading and developing finance teams
  • High attention to detail combined with commercial awareness
  • Comfortable operating in ambiguity and fast-changing environments
Job Responsibility
Job Responsibility
  • Own and manage treasury operations, including liquidity, cash flow, and risk management
  • Lead and develop the finance team, setting standards and building capability
  • Ensure strong financial controls, reporting, and compliance across the business
  • Oversee accounting operations and financial close processes
  • Act as a generalist finance operator across accounting, treasury, and financial planning
  • Partner with leadership on financial decision-making and business performance
  • Improve and scale financial processes as the business grows
What we offer
What we offer
  • flexible remote working
  • direct access to senior leadership
  • a culture that values candor and growth
Read More
Arrow Right

Chief Financial Officer

Our client is a fast-growing global leader in next-generation payment solutions,...
Location
Location
Salary
Salary:
Not provided
onhires.com Logo
OnHires
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 8+ years of financial leadership experience, including at least 3 years as CFO, Deputy CFO, or Head of Treasury
  • Background in fintech, banking, PSP/EMI, crypto payments, or international payment groups
  • Deep expertise in FX, treasury operations, liquidity management, cross-border payments, stablecoins, hedging, and risk management frameworks
  • Proven experience interacting with regulators (FCA, MFSA, FINTRAC, CBM, etc.)
  • Strong analytical, strategic, and systems-building skills — capable of designing financial architecture to scale x10+
  • Fluency in English
  • Ability to operate in a fast-moving, high-growth international environment
Job Responsibility
Job Responsibility
  • Develop and execute the company’s financial strategy, including budgeting, P&L ownership, cash-flow management, and investment planning
  • Manage capital structure (equity, debt, deposits, rolling reserves, hedging instruments)
  • Optimize margins, multi-currency flows, commission structures, and settlement economics (pay-in / pay-out / acquiring / issuing)
  • Build and oversee treasury laddering, daily balances, FX exposures, and liquidity forecasting
  • Supervise allocation of funds, bank transfers, conversions, and hedging strategies
  • Establish a centralized treasury function across multiple international entities
  • Oversee management and regulatory reporting (IFRS/GAAP), audits, and coordination with FCA/MFSA and other supervisory bodies
  • Ensure robust tax planning, transfer pricing, and intercompany flow structuring across jurisdictions
  • Support licensing processes (EMI/PSP) and manage relationships with regulators and banking partners
  • Oversee on/off-ramp flows, custody solutions, stablecoin operations, and their integration into treasury processes
What we offer
What we offer
  • A key role in building a global fintech ecosystem spanning EMI, PSP, crypto payments, and AI-driven finance
  • Direct involvement in company-wide strategy, investment planning, and M&A
  • Equity/stock option program tied to EBITDA growth and valuation multiples
  • International team across Europe, LATAM, and Africa, and a culture built on ownership and entrepreneurship
Read More
Arrow Right

International Tax & Transfer Pricing Manager

What will you be doing at Miniclip? Transfer Pricing Strategy & Compliance: Owne...
Location
Location
United Kingdom , London
Salary
Salary:
Not provided
miniclip.com Logo
Miniclip
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Experience in transfer pricing and international tax for multinational groups, either obtained in practice or in-house (guideline of 3 - 5 years post-qualified experience)
  • Strong command of OECD guidelines (transfer pricing, model tax convention, permanent establishments, Pillar 2) and experience in preparation of transfer pricing documentation is essential
  • Professional accounting or tax qualification (e.g. ACA, CA, CTA, ADIT) is preferred
  • Adaptable and able to work independently, with an ability to manage international tax processes across multiple jurisdictions within a high paced environment
  • Confident in building strong relationships and effectively communicating complex tax risks to non-specialist stakeholders
  • Familiarity with IFRS accounting and tax provisioning is desirable
  • Awareness of broader taxation (international employment taxes, VAT/GST/DST) for digital businesses would be helpful
Job Responsibility
Job Responsibility
  • Transfer Pricing Strategy & Compliance: Ownership of the operational transfer pricing cycle, including, policy design, documentation, intercompany contracts and monitoring implementation of the TP policy
  • Compliance & Monitoring: Proactively manage permanent establishment and tax residency risks. Partner with the People team on internationally mobile and remote workers. Conduct contract reviews and manage WHT clearances and tax residency certificate requests
  • Advisory & Planning: Act as a subject matter expert on international tax advising on internal rationalisations/restructures, new markets or products and cash repatriation strategies. Ownership of Pillar 2 reporting and strategy
  • M&A Projects: Supporting Head of Tax & Treasury on M&A processes and acquisition structuring
  • Tax Controversy: Providing Head of Tax & Treasury support on transfer pricing and international tax elements of tax authority enquiries globally
  • Business Support and Driving Change: Working cross-functionally with Finance, Legal, People and Miniclip Studios to provide tax guidance, establish frameworks and drive process improvements for an expanding business
Read More
Arrow Right

Head of Treasury

We are seeking an experienced Head of Treasury to establish and lead our Treasur...
Location
Location
India , Ahmedabad
Salary
Salary:
Not provided
jll.com Logo
JLL
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Professional Qualification (At least 1 of the following): Chartered Accountant (CA)
  • Cost and Management Accountant (CMA)
  • Certified Public Accountant (CPA)
  • Chartered Financial Analyst (CFA)
  • Certified Treasury Professional (CTP)
  • Other equivalent professional qualifications from recognized bodies
  • Academic Qualification: Post-graduate degree in Finance, Accounting, Economics, or related field from a university recognized by UGC, AICTE, or equivalent authority in India or foreign jurisdiction
  • Experience Requirements: Minimum 10 years of relevant treasury experience in multinational corporate environment or banking sector
  • At least 5 years in management or supervisory roles
  • Proven track record in treasury operations within complex organizational structures
Job Responsibility
Job Responsibility
  • Centralize cash pooling and liquidity management across global group entities to optimize capital utilization and reduce borrowing costs
  • Develop and execute comprehensive cash flow forecasting, liquidity planning, and investment strategies on a global scale
  • Monitor and achieve established KPIs for cash targets and treasury performance metrics
  • Oversee daily cash positioning, including liquidity management, position reconciliation, and bank reporting
  • Optimize collections and payments processes while minimizing banking fees and transaction costs
  • Ensure adequate funding availability for operational and strategic financing requirements
  • Collaborate with various stakeholders across the globe to enhance working capital efficiency
  • Structure, implement, and manage intercompany lending for group entities to ensure optimal capital allocation
  • Develop and execute strategies to optimize group capital structure and minimize cost of capital
  • Ensure timely servicing of all intercompany loans and borrowings across group companies
  • Fulltime
Read More
Arrow Right

Corporate Banking - UK Technology, Media, and Telecommunications (TMT) Head

The Banker is a senior-level position responsible for assisting clients with the...
Location
Location
United Kingdom , London
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Current/recent direct experience with UK Technology, Telecoms and Media clients
  • Demonstrated collaboration with multiple corporate banking stakeholders including coverage teams, risk and products
  • Comprehensive knowledge of corporate banking business including related products, pertinent regulations and the lending and credit approval process
  • Demonstrated leadership, organizational, negotiation, presentation sales, client-relationship building, analytical and credit skills
  • Consistently demonstrate clear and concise written and verbal communication
  • Experience in originating, structuring and executing transactions and financings
  • Experience with large, global corporate clients, capital markets products, derivatives, credit, cash management, trade, finance and securities products
  • Strong understanding of capital management and ability to efficiently allocate capital across the portfolio
  • Strong track record of developing complex client relationships and balancing capital, returns and credit appetite
  • Experience with managing diverse teams and demonstrated commitment to talent development
Job Responsibility
Job Responsibility
  • Lead in the origination, structuring, and execution of transactions and financings and foster and leverage ongoing global relationships inside and outside of the organization
  • Manage credit risk of the client portfolio and allocate capital prudently through partnership with senior credit officers and capital management
  • Provide a wide range of treasury and corporate finance solutions including cash management, trade, vendor finance, FX, general credit, loans, debt capital markets, structured finance, share repurchase, and interest rate and equity derivatives for a selected client portfolio
  • Provide sophisticated financial solutions tailored to clients’ needs and act as a content provider on industry and market trends
  • Meet revenue and other financial goals by leveraging Citi’s full spectrum of Institutional Client Groups (ICG) products and services and ensure solutions meet or exceed internal risk, return and compliance requirements, ethical standards, and anticipated future changes in the marketplace
  • Proactively leverage industry trends and client solutions to propose new ideas and content for clients
  • Partner with ICG partners to execute episodic transactions and drive client planning by delivering product agnostic solutions, client access, and effective capital allocation
  • Identify and lead new business opportunities enabling a balanced growth of the client portfolio
  • Recruit and develop diverse talent for the Corporate Bank and serve as a mentor to junior bankers
  • Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behaviour, conduct and business practices, and escalating, managing and reporting control issues with transparency
  • Fulltime
Read More
Arrow Right