Corporate Treasurer
🔒 Confidential Employer
Posted 6 May 2026
LOCATION
London
TYPE
Full-time
LEVEL
Director
CATEGORY
Finance & Accounting
This employer holds a UK Home Office sponsor license — sponsorship for this specific role is at the employer’s discretion
SKILLS
Treasury Operations
Financial Modeling
FX Hedging
Cash Flow Forecasting
Treasury Management Systems
Capital Structure Optimization
Stakeholder Relationship Management
FULL DESCRIPTION
Corporate Treasurer
[Employer hidden — sign up to reveal] - London, UK
Hybrid | Full-time | Director level
Not specified | Not specified
What You Will Do
- Forge and maintain relationships with external stakeholders including corporate bankers, asset managers, rating agencies, etc., and help drive financing discussions at the corporate level
- Oversee liquidity forecasting and stress-testing frameworks, treasury policy design and documentation, reporting templates, and other ad hoc needs
- Build and maintain cash flow forecasting models in collaboration with FP&A, and identify and actively monitor key treasury metrics
- Oversee day-to-day management of cash in various FX, counterparties that hold our fiat balances and other risk management areas to support our various business needs
- Drive banking operations efficiencies and implement treasury management systems and processes
- Provide input on capital structure optimization (overall leverage ratio) and capital allocation decisions
- Work with Finance and Accounting to identify and manage day-to-day cash needs for inter-company transactions, accounts payable, payroll, tax, debt, and other financial obligations
- Develop deep understanding of day-to-day liquidity requirements and drive an optimal funding strategy
- Develop treasury reports to be reviewed by the executive management team
- Maintain covenants and covenant forecast for various debt vehicles (with focus on fiat)
- Build FX operations, identify currency exposures, develop effective hedging strategies and manage FX impact on overall business and financial results, as needed (fiat and crypto)
- Assist in relevant ad hoc work streams related to acquisitions and integrations
What You Will Need
- Minimum 10 years of experience in Treasury operations
- Prior experience in an involved treasury operations role at a global Fintech platform
- Passion for financial markets and curiosity and willingness to learn about crypto
- Robust analytical, problem solving and financial modelling skills
- Strong knowledge of relevant treasury management systems
- Experience in digital asset industry is a plus
- Prior experience in building scalable infrastructure and driving continuous process improvement and automation within a growing Finance organization
- Ability to build internal and external relationships and communicate effectively with executives
- Excellent verbal and written communication skills
Compensation & Perks
- Full-time salary based on experience and meaningful equity in an industry-leading company
- This is a role based in our London office, with a mandatory in-office presence four days per week.
- Work from Anywhere Policy: You can work remotely from anywhere in the world for up to 20 days per year.
- ClassPass
- Unlimited vacation policy; work hard and take time when you need it
- Apple equipment
- The opportunity to be a key player and build your career at a rapidly expanding, global technology company in an emerging field
- Flexible work culture
Application
Favorite GIF, LinkedIn profile, Link to Github, StackOverflow, personal website and/or blog (if applicable).
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