Senior Treasury & Risk Manager
Location: London (Hybrid)
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.
The Role
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.
About You
You'll bring a combination of strong technical treasury expertise and the ability to build processes within a scaling business.
We're looking for:
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. Desirable Experience
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. What's on Offer
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.