Responsibilities
- Lead client engagements, acting as a trusted advisor to CFOs and Treasurers on treasury strategy, transformation, and risk management.
- Own end-to-end delivery of treasury transformation programmes, including operating model design, process optimisation, and governance frameworks.
- Lead initiatives across cash management, liquidity optimisation, and forecasting transformation, delivering measurable outcomes.
- Advise on and lead financial and commodity risk management engagements, including hedging strategies, trading frameworks, and controls.
- Oversee implementation of treasury technology, payments infrastructure, and bank connectivity solutions (e.g., Kyriba, SAP, FIS).
- Drive advisory on working capital optimisation, including cash conversion cycle improvement, receivables/payables strategies, inventory funding, and in-house banking structures.
- Lead treasury workstreams in strategic transactions (M&A, carve-outs, IPO readiness, integrations).
- Drive development and quality review of client deliverables, including diagnostics, financial models, and executive presentations.
- Facilitate senior stakeholder workshops and steer decision-making to define target-state solutions and transformation roadmaps.
- Act as the primary day-to-day senior contact, building long-term, trusted client relationships and ensuring consistent delivery excellence.
- Manage and mentor Managers and Consultants, ensuring high-performing teams and quality delivery outcomes.
- Support proposal development, RFP responses, and client pitches, contributing to win strategies and solution positioning.
- Collaborate with Partners/Directors to expand CFGI’s footprint in treasury and commodity advisory services.
- Contribute to go-to-market initiatives and market-facing discussions through client insights and industry trends.
Requirements
- Bachelor’s or Master’s degree in Finance, Accounting, Economics or related field (MBA or advanced degree preferred).
- 10–12 years of experience in treasury, corporate finance, consulting, or banking.
- Strong experience across multiple areas: Cash & liquidity management, Treasury transformation / operating model design, Treasury technology (TMS, payments, bank connectivity), Financial and/or commodity risk management, Working capital optimisation and cash flow improvement.
- Strong technical understanding of treasury processes, financial markets, and risk frameworks.
- Proven experience in leading engagements, managing teams, and delivering complex programmes – including leverage of AI tools to drive optimisation.
- Demonstrated ability in client relationship management and opportunity identification.
- Strong communication and executive presentation skills, with confidence engaging CFO and Treasurer-level stakeholders.
- Highly organised with the ability to manage multiple priorities, teams, and deadlines.
- Professional certifications such as ACT, CTP, CFA, ACA/ACCA are advantageous.
ATS Optimization Keywords
Below are skills and terms extracted directly from this job posting to improve Applicant Tracking System (ATS) visibility. This unique feature helps candidates tailor their applications more effectively.
Hard Skills
- treasury transformation
- cash management
- liquidity optimisation
- financial risk management
- commodity risk management
- hedging strategies
- financial modeling
- process optimisation
- operating model design
- working capital optimisation
Soft Skills
- client relationship management
- team management
- communication skills
- executive presentation skills
- organisational skills
- decision-making
- mentoring
- stakeholder engagement
- strategic thinking
- problem-solving
Certifications & Qualifications
- ACT
- CTP
- CFA
- ACA
- ACCA
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