Deputy Treasurer – Up to £140,000 Base + Benefits
Hybrid / London
We are currently working with a global uranium enrichment business seeking a motivated Deputy Treasurer to join their established Treasury function on a permanent basis. This role will be instrumental in managing day-to-day treasury operations, cash forecasting, and FX risk management.
You will also have the opportunity to execute complex transactions, advise on strategic business planning models, and collaborate with internal teams to deliver finance transformation projects.
Key Responsibilities:
- Previous ownership of treasury operations, including oversight of the daily treasury routine, ensuring compliance with internal controls, and maintaining robust processes.
- Demonstrable experience in FX and cash management to manage currency exposures, optimise liquidity, and deliver accurate cash forecasting and planning.
- Proven ability to contribute to treasury strategy, funding optimisation, and best practice in risk management.
- Strong stakeholder management skills, with the ability to lead and develop treasury team members while building strong relationships with banks, financial partners, and internal stakeholders.
- Background in accounting or corporate finance, with strong technical skills.
This is an exciting opportunity to join a multinational business, oversee treasury operations, and support the organisation’s long-term financial objectives.