Group Treasurer

London, United Kingdom
Finance - Europe – Finance Operations - Europe /
Full-time /
Hybrid
Trustly is leading the human-centric payments revolution. To us, this means passionately building the most convenient, intelligent and responsible way of paying for things online. Whether it’s for shopping, paying subscriptions, funding trading accounts, booking airfare, playing online games and much more – we’re all about a better way to pay. At our core, we are a tech company with industry-leading tech capabilities. But, it’s the ingenuity of our people that makes us leaders in our field. Thus, our appetite for innovation will never be anything less than fierce. Trustly is steadily growing as it connects thousands of businesses with hundreds of millions of people. And with a strong presence across Europe and the Americas, we are leading the human-centric payment revolution as a truly global team.

About the Team:
Group Treasury has overall responsibility over the Group’s financial risk exposure, including foreign exchange risk, credit risk and liquidity risk, and manages liquid funds to ensure efficient liquidity management, optimized debt and equity financing, and capital structure.

About the Role:
The Group Treasurer is an integral part of our finance team, working cross functionally with the Finance and Banking Operations teams. The Treasurer oversees the strategic and operational treasury management; ensures the development and execution of the Group’s treasury strategy, optimises the global cash position, and manages financial risks - ensuring compliance with relevant regulations across our international operations.

What you'll do:

    • Management and reporting of financial risks through implementation of appropriate risk management strategies.
    • Prepare, implement and maintain a global treasury policy and investment strategy.
    • Cash and liquidity management across all Group entities Implement applicable treasury systems and technology.
    • Implement and operate an effective investment strategy to maximise finance income.
    • Maintain banking relationships with global banking partners ensuring terms are favourable and efficient.
    • Manage compliance with applicable financial regulations and reporting requirements across the group.

Who you are:

    • Extensive experience (typically 10+ years) in corporate treasury, with at least [2] years in leadership roles. 
    • Proven track record of developing and implementing successful treasury strategies, managing debt, and managing financial risk.
    • Experience working with treasury management systems and other financial technologies.
    • Experience working in a regulated environment, coupled with a good understanding of relevant financial regulations and compliance requirements.
    • Experience working in multiple currencies and across multiple jurisdictions is critical.
    • Ability to work independently as well as with other cross functional teams in a fast paced, high growth global environment. 
    • Proactive, results orientated approach with a strong attention to detail.
Our Fantastic Benefits
🌴 20 to 30 days of holiday (depending on location) to support a healthy work-life balance
🥳 Monthly team outing allowance to enjoy social events with your colleagues
👶 Parental leave top-up additional support for new parents
🥐 Daily breakfast and on-site perks to make your workday smoother
💚 Well being support our health allowance covers gym memberships, massages, and much more to help you feel your best
PLUS additional benefits designed to enhance your work-life experience!

Shape Your Role and Make an Impact
Join a dynamic environment where you can take ownership, drive change, and continuously embrace new challenges. We’re looking for dedicated and highly motivated individuals who thrive in a fast-paced environment and enjoy collaborating across different areas of the organisation.
If your skills and experience align with this role, we’d love to hear from you! Apply now and submit your CV in English.