The Treasury & Financial Controller is a senior, hands-on role responsible for cash management, financial control, and liquidity oversight across a portfolio of European businesses.
Requirements
- ACA, ACCA, or CIMA qualified (or international equivalent)
- 10+ years of experience in financial control and/or treasury, within private equity, a family office, an asset management firm, or a financial services-adjacent environment
- Demonstrable experience owning a full financial control function, including statutory accounts, audit management, and tax compliance, with hands-on treasury experience
- Strong technical accounting skills, with working knowledge of IFRS accounting
- Highly autonomous, able to manage multiple work streams independently in a lean team environment
- Excellent communication skills, with the ability to present financial information clearly to senior stakeholders
Benefits
- Competitive salary and benefits package
- Opportunity to work with a global private holding company focused on investing in and transforming businesses
- Chance to develop skills and expertise in financial control and treasury management