Senior Treasury Transformation Specialist | Global Fashion Brand | £85,000 – £95,000 + Bonus | London (Hybrid) | JRDF35202
JasperRose is partnering with a globally recognised fashion brand to recruit a Treasury Transformation Specialist. This opportunity sits within a sophisticated global treasury function supporting a complex international business across multiple markets, currencies and banking structures.
Based in Central London, this role offers broad exposure across treasury operations, liquidity management and treasury transformation initiatives within a highly collaborative and fast-paced environment. The organisation is investing heavily in technology, automation and process optimisation, making this an exciting opportunity for someone who enjoys driving operational improvements while working closely with stakeholders across finance and treasury teams globally.
The successful candidate will play a key role in supporting global cash operations, treasury controls, banking activities and treasury-related projects within an evolving international treasury environment.
Key Responsibilities:
- Support the management of global liquidity and daily cash positioning activities across multiple regions and currencies.
- Coordinate treasury-related payment activity, ensuring robust controls and efficient execution across the group.
- Assist with cash forecasting, liquidity reporting and monitoring short-term funding requirements.
- Partner with finance and accounting teams to ensure accurate treasury reporting and reconciliation processes.
- Support initiatives focused on improving cash visibility, operational efficiency and treasury controls globally.
- Contribute to treasury transformation projects, including process automation and systems enhancement initiatives.
- Assist with bank account management activities, including documentation, governance and relationship coordination.
- Support treasury policy compliance and help maintain effective operational procedures across international entities.
- Produce treasury reporting and analysis to support decision making and wider treasury initiatives.
- Work closely with regional stakeholders to help standardise treasury operations and improve consistency across processes.
Key Requirements:
- Experience within treasury operations, cash management or treasury-related finance roles in an international organisation.
- Strong understanding of treasury processes, payments, liquidity management and banking operations.
- Exposure to multi-currency environments and global treasury structures.
- Comfortable working with treasury systems, financial data and operational reporting.
- Process improvement mindset with an interest in automation, transformation and operational efficiency.
- Strong analytical and problem-solving skills with the ability to manage multiple priorities.
- Confident communicator with the ability to build relationships across finance, treasury and external banking partners.
- Comfortable operating within a fast-moving, international business environment.
What’s on Offer?
This is an excellent opportunity to join a globally recognised brand with a highly sophisticated treasury environment. The role offers strong exposure to international operations, modern treasury technology and cross-functional projects.
- £80,000 – £90,000 base salary
- Performance-related bonus
- Hybrid working (London HQ)
- Exposure to a complex international treasury environment
- Opportunity to contribute to treasury transformation and automation initiatives
- Strong benefits package and long-term career progression opportunities
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