Director – Corporate Finance & Treasury, Orbit Group, Coventry & Agile Working

2021-10-19T12:11:27+00:00October 18th, 2021|

We are delighted to have been retained by Orbit Group in their search for a Director of Corporate Finance and Treasury. After successfully finding Treasurers for both Clarion Housing and Sovereign Housing, we were delighted to make the hat-trick by helping Orbit find their next senior treasury professional. The Company Orbit was formed with the [...]

European Treasury Manager – Global Logistics Company – London

2021-10-04T13:08:17+00:00September 2nd, 2021|

The Company Our client, a global logistics company, is focused on moving goods through supply chains with critical efficiency and reliability. They always want to know the most complex requirements and biggest challenges of their customers and then create faster, leaner, smarter supply chains tailored to those needs. Their decades of experience and significant investments in [...]

Head of Treasury, Leading Travel Company, Oxford

2021-09-08T08:32:47+00:00September 1st, 2021|

The Role The Head of Treasury will lead all aspects of the group’s treasury activity, manage the AR function including driving collections and related quote to cash (Q2C processes). Responsible for all aspects of the Group’s treasury operations inc. liquidity management, FX exposure management, senior debt and banking relationships, investments, merchant acquirer and credit card [...]

Treasury Operations and Cash Management, Leading Insurance Broker, Brighton (Interim)

2021-09-02T10:39:45+00:00August 2nd, 2021|

The Company One the world’s largest privately owned insurance brokers with revenues of $2.2bn. The company commenced expansion outside of the US in 2006 when it acquired an international business. The international business is headquartered in London, with operations in Europe, Middle East, Asia, Pacific and Latin America. The international business accounts for c. 25% [...]

Cash Manager, Money Transfer Business, London

2021-09-02T10:50:58+00:00June 16th, 2021|

The Role This international PE backed money transfer business are looking to strengthen their team with a Cash Manager to help meet the demands of their continuing growth. Reporting directly into the Cash, Funding and Change Management Director, this person will be responsible for the effective management of the Group cash and cash equivalents, ensuring [...]