Senior Treasury & Risk Manager
Listed on 2026-07-07
-
Finance & Banking
Risk Manager/Analyst, Corporate Finance, Financial Compliance, Financial Manager
Build the Treasury Function for One of Europe's Fastest-Growing Digital Infrastructure Platforms
We’re supporting a rapidly scaling, venture-backed AI and digital infrastructure business as they appoint their first dedicated Senior Treasury & Risk Manager
.
This is a unique opportunity to build a treasury function from the ground up within a high-growth organisation delivering critical infrastructure across Europe and the US. Reporting directly to the VP of Accounting
, you’ll own treasury strategy, liquidity, funding and financial risk while helping prepare the business for its next phase of growth, including a future public listing.
With a clear progression path to Head of Treasury
, this role is ideal for someone who enjoys creating structure, influencing strategy and operating in a fast-paced, entrepreneurial environment.
You’ll take ownership of treasury across a multi-entity, multi-currency international business, ensuring strong liquidity management, effective financial risk controls and robust banking relationships while supporting significant infrastructure investment.
Key Responsibilities- Own group cash management, liquidity planning and rolling cash flow forecasting.
- Manage multi-currency treasury operations across GBP, EUR and USD.
- Optimise surplus cash through appropriate short-term investment strategies.
- Identify and manage foreign exchange and interest rate risk, including hedging where appropriate.
- Lead banking relationships, account structures, mandates and payment controls.
- Support corporate and project debt financing, including lender reporting and covenant monitoring.
- Develop treasury policies, governance frameworks and financial risk controls.
- Build treasury processes aligned with future SOX compliance and public company requirements.
- Deliver treasury reporting to senior leadership, investors and the Board.
You’ll bring a combination of strong technical treasury expertise and the ability to build processes within a scaling business.
- 5+ years' experience in Corporate Treasury.
- Treasury qualification (ACT/AMCT) and/or ACA, ACCA, CIMA or CFA.
- Strong experience managing multi-currency cash and FX exposure.
- Knowledge of liquidity management, treasury operations and short-term investments.
- Experience building controls, policies and governance within growing businesses.
- A proactive, commercially minded approach with excellent stakeholder management skills.
- Infrastructure, energy, data centre or project finance experience.
- Exposure to high-growth, scale-up or pre-IPO businesses.
- SOX, SEC reporting or US public company readiness.
- ERP implementation or finance systems transformation.
- Hybrid working in London.
- Genuine opportunity to shape and lead a treasury function from day one.
- Clear progression to Head of Treasury as the business continues its rapid expansion.
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