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CFGI

Treasury & Commodity Advisory – Director

CFGI

Director at CFGI overseeing strategic treasury and commodity advisory initiatives with CFOs and executive leadership. Transforming liquidity, financial risk, and working capital in dynamic environments.

Posted 6/22/2026full-timeLondon • 🇬🇧 United KingdomLeadWebsite

About the role

Key responsibilities & impact
  • Directors at CFGI work closely with CFOs, Group Treasurers, and executive leadership across FTSE 100, private equity-backed, and high-growth organisations.
  • You will lead the firm’s most strategic treasury and commodity advisory engagements, combining client leadership, delivery excellence, and client ownership.
  • Operate as a trusted advisor at the C-suite level, driving transformation across liquidity, financial risk, working capital, and treasury technology, while playing a critical role in building and scaling the practice.
  • Lead large-scale, global treasury and commodity advisory programmes with executive visibility.
  • Build and own senior client relationships, acting as a trusted advisor to CFOs and Treasurers.
  • Drive strategic initiatives across cash management, liquidity optimisation, and working capital transformation, linking treasury strategy to enterprise performance.
  • Provide executive-level advisory on financial and commodity risk management, including hedging strategies, trading frameworks, and risk governance.
  • Oversee complex treasury technology and payments transformation programmes (TMS, bank connectivity, digital treasury, automation).
  • Lead treasury workstreams across strategic transactions (M&A, IPOs, carve-outs, integrations), ensuring alignment with funding, liquidity, and capital strategy.
  • Review and sign off on high-quality client deliverables, including board-level materials, financial models, and transformation roadmaps.
  • Lead and facilitate executive workshops and steering committees, driving alignment and decision-making at senior levels.
  • Maintain overall accountability for engagement delivery quality, timelines, and client outcomes.

Requirements

What you’ll need
  • Bachelor’s or Master’s degree in Finance, Accounting, Economics or related field (MBA preferred).
  • 12+ years of experience in treasury, corporate finance, consulting, or banking.
  • Deep expertise across multiple areas:
  • Cash & liquidity management
  • Treasury transformation and operating model design
  • Treasury technology (TMS, payments, bank connectivity)
  • Financial and commodity risk management
  • Working capital optimisation and cash flow strategy
  • Strong understanding of global treasury structures, financial markets, and risk frameworks.
  • Proven track record of leading large-scale engagements and managing senior client relationships.
  • Strong executive presence with the ability to influence C-suite stakeholders and board-level discussions.
  • Excellent communication and presentation skills, with the ability to translate complex topics into clear strategic insights.
  • Experience managing large, cross-functional teams and multiple concurrent engagements.
  • Professional certifications such as ACT, CTP, CFA, ACA/ACCA are advantageous.

Benefits

Comp & perks
  • Health insurance
  • Paid time off
  • Professional development opportunities

ATS Keywords

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Applicant Tracking System Keywords

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Hard Skills & Tools
cash managementliquidity optimisationtreasury transformationfinancial risk managementcommodity risk managementhedging strategiestrading frameworksfinancial modelingpayments transformationworking capital optimisation
Soft Skills
client leadershipexecutive presencecommunication skillspresentation skillsinfluencing stakeholdersrelationship managementdecision-makingteam managementstrategic thinkingdelivery excellence
Certifications
ACTCTPCFAACAACCA