Create futures worth inheriting with SJ. Head of Group Treasury leads the organisation’s treasury function, managing financial risk, liquidity, and capital structure across the group.
Requirements
- At least 10 years of relevant experience in treasury, corporate finance, investment banking, or financial strategy.
- Proven experience managing large, cross-border group companies.
- Strong knowledge of corporate finance, accounting principles, and treasury systems.
- Experience executing cross-border cash pooling, bond deals, and fundraising activities is highly desirable.
- Professional qualifications such as CFA, CPA, or relevant treasury certification are an advantage.
Benefits
- Competitive salary
- Opportunity to work with a global urban and infrastructure consultancy firm
- Fun workplace with a team of 16,000 client-centric specialists