Key Responsibilities: Transactional Treasury Management: Oversee day-to-day treasury activities, including cash management, liquidity forecasting, and payment management, ensuring optimal working capital management. Debt Structuring & Refinancing: Lead and manage complex debt structures within a Midco and Holdco framework, with a focus on ensuring efficient debt refinancing where required. Bank Relationships: Leverage a strong network of bank contacts to manage and negotiate financing terms, credit facilities, and other banking arrangements to support business needs. Corporate Structure Understanding: Work effectively within a corporate structure involving multiple layers of debt (Midco, Holdco) and a security group. External Advisors: Collaborate with external advisors to provide additional support where necessary, ensuring alignment with the company's strategic financial objectives. Reporting & Governance: Maintain strong reporting on treasury operations, including cash positions, debt compliance, covenant monitoring, and other treasury metrics. Ensure all governance and risk management processes are followed. Stakeholder Engagement: Work closely with the CFO and senior leadership team to align treasury strategies with overall business objectives. Key Requirements:
Proven experience in a Treasury Director or senior treasury management role, preferably within a large-cap PE-backed business or similar corporate environment. Transactional Expertise: Strong transactional treasury experience, including cash management, debt restructuring, and refinancing. Bank Network: A well-established network of bank contacts for financing, banking relationships, and funding arrangements. Complex Debt Structure Experience: Deep understanding and experience in managing treasury functions within a corporate structure involving Midco and Holdco debt, as well as security group structures. Refinancing Expertise: Ideally, experience completing a significant refinancing or restructuring of debt. Leadership & Collaboration: Ability to lead a small treasury team and work closely with senior leadership, external advisors, and stakeholders across the business. Availability: Available for an immediate or near-term start, with flexibility for part-time or interim engagements. If you meet the above criteria, please do apply. This role is London based and paying £1000pd-£1500pd (day rate will depend on experience). This is a 6-month interim assignment likely outside IR35. #J-18808-Ljbffr