About The Role As our first dedicated treasury hire, you will own cash, liquidity, funding, and financial risk across a multi-entity, multi-currency group. You will safeguard a nine-figure cash base, manage FX and counterparty risk, build our treasury policy and controls from the ground up, and support the debt financing that underpins our infrastructure build-out. This is a hands-on, build-it role with a clear path to Head of Treasury as we scale. What You Will Be Doing Manage group cash across entities and currencies, and maintain rolling liquidity and burn forecasts against the capex and operating plan Select and manage short-term investments (money market funds, deposits, T-bills) within board-approved limits, balancing yield, liquidity, and capital preservation Identify, measure, and manage FX exposure across a USD-functional group with GBP and EUR balances, and recommend and execute hedging where appropriate Monitor interest-rate exposure as debt facilities come on stream Own banking relationships, mandates, signatories, and payment controls, and lead bank onboarding and rationalisation as we scale Manage day-to-day treasury operations, settlements, and cash positioning Support structuring and management of project-level and corporate debt financing tied to customer offtake contracts, including covenant monitoring and lender reporting Draft and maintain the group treasury policy and broader financial-risk framework, and design treasury controls to support SOX 404 readiness and the PCAOB audit pathway Produce treasury reporting for the CFO, board, and investors What You Bring 5+ years in corporate treasury, ideally with scale-up, capital-intensive, or pre-IPO experience Treasury qualification (ACT / AMCT) and/or an accounting or finance qualification (ACA, ACCA, CIMA, CFA) Strong multi-currency cash and FX experience; comfortable with money market funds, deposits, and short-dated instruments A controls mindset and the discipline to build process where none yet exists Clear, numbers-led communicator who can operate independently in a lean, fast-moving environment Nice to Have Exposure to infrastructure, data centre, or project finance Experience supporting a US listing, SEC reporting, or SOX implementation ERP migration experience (we are moving off Xero to a full ERP)
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