Director, Treasury, EMEA
Listed on 2026-08-15
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Finance & Banking
Risk Manager/Analyst, Corporate Finance, Financial Manager, Financial Compliance -
Management
Risk Manager/Analyst, Financial Manager
About Vantage Data Centers
Vantage Data Centers powers, cools, protects and connects the technology of the world’s well-known hyperscalers, cloud providers and large enterprises. Developing and operating across North America, EMEA and Asia Pacific, Vantage has evolved data center design in innovative ways to deliver dramatic gains in reliability, efficiency and sustainability in flexible environments that can scale as quickly as the market demands.
About Vantage Data CentersVantage Data Centers powers, cools, protects and connects the technology of the world’s well-known hyperscalers, cloud providers and large enterprises. Developing and operating across North America, EMEA and Asia Pacific, Vantage has evolved data center design in innovative ways to deliver dramatic gains in reliability, efficiency and sustainability in flexible environments that can scale as quickly as the market demands.
Position OverviewVantage is seeking a Director of Treasury to lead and shape the company’s global cash management, funding strategies, and financial risk mitigation efforts. This senior leadership role will drive strategic decision-making, ensuring optimal liquidity, treasury operations, and financial governance while enhancing banking relationships across multiple jurisdictions. The Director of Treasury will work closely with executive management to align treasury functions with broader corporate objectives, guide financial risk policies, and establish innovative automation strategies to support scalable growth.
EssentialJob Functions
- Strategic Treasury Leadership:
Oversee all treasury functions across the region, ensuring strong liquidity, risk management, and efficient cash flow processes. - Financial Strategy & Capital Planning:
Develop and execute strategies for cash management, debt financing, and investment optimization, aligning treasury activities with business growth. - Banking & Relationship Management:
Serve as the lead liaison with global and regional banking partners, negotiating favorable terms, optimizing structures, and ensuring regulatory compliance. - Risk Management & Compliance:
Establish and oversee internal treasury controls, ensuring compliance with financial regulations, FX management, and risk mitigation strategies. - Cash Forecasting & Liquidity Optimization:
Lead the development and continuous refinement of cash flow forecasting models, ensuring financial stability and operational flexibility. - Debt Management & Funding Strategy:
Oversee financial reporting on debt facilities, ensuring efficient fund utilization and proactive risk mitigation. - Technology & Treasury Automation:
Continue to develop automation initiatives, integrating treasury platforms (Yardi, Kyriba) with ERP systems to streamline transactions and reporting accuracy. - Stakeholder Engagement:
Partner with CFOs, Finance leaders, and business units to align treasury objectives with financial strategy and corporate decision-making. - Audit & Financial Governance:
Oversee internal and external treasury audits, ensuring accuracy, transparency, and compliance with industry standards. - Executive Advisory:
Act as a key advisor to senior leadership, providing insights into global financial trends, strategic funding opportunities, and capital allocation strategies. - Strategic M&A project closing and distributions to shareholders.
- Management of a team of 5 - Currently split in 2 : “Operations” and “Debt reporting”
- Provide leadership in treasury operations, guiding the broader finance team and treasury personnel.
- Drive bank account management strategy, ensuring efficiency in KYC and regulatory compliance across jurisdictions.
- Design and implement treasury policy frameworks to strengthen financial governance.
- Lead initiatives to enhance cash reporting, liquidity management, and transaction automation.
- Negotiate banking agreements and financial instruments to optimize company financial performance.
- Develop and execute risk mitigation strategies for FX exposure, interest rate fluctuations, and market volatility.
- Oversee external audits, regulatory reporting, and treasury-related compliance initiatives.
- Foster a culture of innovation, continuous…
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