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About the role
Key responsibilities & impact- 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
What you’ll need- 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.
Benefits
Comp & perks- Enjoy the flexibility of office/remote/client site work locations (engagement specific)
ATS Keywords
✓ Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills & Tools
treasury transformationcash managementliquidity optimisationfinancial risk managementcommodity risk managementhedging strategiesfinancial modelingprocess optimisationoperating model designworking capital optimisation
Soft Skills
client relationship managementteam managementcommunication skillsexecutive presentation skillsorganisational skillsdecision-makingmentoringstakeholder engagementstrategic thinkingproblem-solving
Certifications
ACTCTPCFAACAACCA
