The Company
We are exclusively retained by a global corporate services platform supporting a major international investment group with a substantial European real estate portfolio. The business delivers best-in-class finance and treasury services across a broad range of asset classes and jurisdictions, working closely with investment, finance, tax, legal, and technology teams globally.
Headquartered in Luxembourg, the European operation plays a central role within a wider international treasury framework, partnering closely with teams across Asia and North America. The organisation is recognised for its strong culture, focus on continuous improvement, and commitment to building scalable, high-quality treasury infrastructure.
The Role
Following an internal move within the wider group, our client is looking to appoint a Senior Treasury Specialist to further strengthen the technical and operational capability of the treasury function.
This is a hands-on, specialist role, offering significant exposure to global treasury transformation activity. The focus is firmly on delivery, systems, and process enhancement rather than people management, making it ideal for a treasury professional who enjoys operating at the detail while contributing to broader strategic initiatives.
Reporting directly to the Head of Treasury, the role offers excellent visibility across senior stakeholders and the opportunity to play a key part in shaping the future treasury operating model.
Key Responsibilities
- Take ownership of global treasury initiatives, supporting delivery from design through to implementation
- Act as a key contributor to treasury transformation programmes, ensuring strong governance and delivery against agreed milestones
- Support the design and rollout of a globally aligned treasury operating model in collaboration with regional teams across Europe, Asia, and North America
- Drive the implementation of new treasury processes, services, and controls to improve efficiency, automation, scalability, and risk management
- Play a hands-on role in the transition from legacy processes to a newly implemented Treasury Management System
- Work closely with finance, tax, legal, and technology teams to ensure treasury requirements are effectively translated into automated, controlled solutions
- Support the development of enhanced cash and liquidity management structures, including centralised treasury solutions and automated cash pooling
- Assist with treasury transaction management and financial risk activities across complex investment structures, financing arrangements, FX and interest rate products, and guarantees
- Participate in cross-functional and external stakeholder meetings, including banks, advisors, and technology providers
- Contribute to process reengineering, policy development, and continuous improvement initiatives across the treasury function
- Support the onboarding of new funds and investment structures as the business continues to grow
The Candidate
- 7+ years’ experience in treasury, ideally within a multinational, asset-heavy, or investment-led environment
- Comfortable operating in a hands-on role with exposure to larger transformation and change initiatives
- Strong understanding of cash management, liquidity planning, and financial risk
- Experience supporting or delivering treasury process and systems improvements
- Confident working with banking partners and within formal treasury governance frameworks
- Strong stakeholder engagement and communication skills
- Degree in Finance, Economics, or a related discipline
- Fluent in English; additional European languages are advantageous
How to Apply
If you’re a treasury professional ready to make a significant impact in a fast-paced, collaborative environment, we’d love to hear from you. Send your CV to Katie Hardie katie@treasuryrecruitment.com in the first instance.
PLEASE NOTE: We are only able to consider those individuals who have the relevant right to work in Luxembourg.
