Director of Treasury

Company: STOIX | B Corp™
Apply for the Director of Treasury
Location: London
Job Description:

Treasury Director | International Transport & Infrastructure | Sponsor-Backed Build Mandate London | £150K – £180K Base + 25% Bonus | 4 days per week in central London

STOIX is working with an international public transport group operating services across the UK, Ireland, the Nordics and a growing portfolio of global markets. Owned by an infrastructure consortium, the business is transitioning from a loosely federated group into a properly consolidated international operator with an active £1bn+ refinancing, 17 operating companies, and bids in flight on some of the largest transport tenders globally.

They’re hiring a Treasury Director, reporting directly to the Group CFO, for this ‘build and fix’ role.

The role

  • Own the Group treasury function end to end, strategy, operating model, controls, systems
  • Lead execution on a £1bn+ refinancing programme, covenant reporting across 15+ lenders, and ongoing capital markets activity
  • Build cash visibility, forecasting and liquidity infrastructure from first principles, leveraging automation and AI where they genuinely add value
  • Manage relationships with lenders, rating agencies and sophisticated infrastructure shareholders, including board-level reporting
  • Support international M&A, bids and tenders, including asset-backed, project-style and concession financing
  • Partner across 17 operating companies to rationalise banking, embed controls and professionalise the function
  • Lead and develop a Treasury Manager and Treasury Analyst, with scope to shape the team as the Group scales

The profile (non-negotiable)

  • Significant treasury experience in a large, complex, multi-entity corporate, infrastructure, transport, utilities, real assets or another capital-intensive sector
  • Proven delivery in structured finance and capital markets, debt issuance, refinancing, covenant-heavy facilities, asset-backed funding
  • Demonstrated treasury transformation experience, TMS implementation, process redesign, operating model build, not just steady-state
  • Comfortable operating inside sophisticated shareholder dynamics, consortium investors, infrastructure funds, PE sponsors
  • Strategic direction-setter who still rolls up their sleeves and writes the board paper themselves, this is an exec team that does, not one that delegates
  • Credible in front of lenders, rating agencies and a demanding shareholder base
  • 10+ years of treasury experience; ACT, ACA or CFA preferred

What this is (and isn’t)

This is a full-suite Group Treasury Director role inside a business mid-transformation, with real scope and a CFO that will back you to execute.

It is not:

  • a maintenance or steady-state treasury seat
  • a pure structured finance / niche debt specialist role

This is where you build the function, own the capital structure, and sit at the centre of a business that is genuinely evolving; sophisticated shareholders, international growth, and a live refinancing that matters.

If you’ve done the hard yards in structured finance and treasury and want to own the full suite inside a business going somewhere, this is the one.

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Posted: May 17th, 2026