As a global leader in ship management and marine services, we add value to a vessel's operations. Operating around the clock and around the world, V. gives every client the quality and efficiency they need in every sector. Covering crew management and recruitment, quality ship management and technical services, together with supporting management and commercial services, V. has an unrivalled industry knowledge with performance assured. Our values, We Care, We Collaborate, We Challenge, We are Consistent, We Commit and Deliver, are at the heart of everything we do and they support our strategy of Investing in Talent. We are always interested in making contact with talented individuals - people who will demonstrate our values and deliver great service, for internal and external stakeholders.
Overall Purpose of The Job
The Head of Treasury is a strategic leadership role responsible for overseeing the organisation's global treasury operations from its London headquarters. This position is central to managing the company's liquidity, financial risk, and capital structure in a complex international environment. The role will work closely with internal and external stakeholders (such as major banking partners, lenders and shareholders), ensuring robust cash management, orchestrating foreign exchange and interest rate risk strategies, and leading all aspects of debt management, including credit facilities and refinancing initiatives.
Key Responsibilities and Tasks
Oversee all corporate treasury operations, including cash management, liquidity planning, and forecasting across multiple jurisdictions.
Establish and manage relationships with major global banks and various other financial counterparties, securing optimal service, pricing, and access to financial markets.
Lead foreign exchange and interest rate risk management strategies, developing and implementing appropriate hedging policies.
Direct global cash concentration, repatriation, and investment activities to optimise returns and support business objectives.
Manage all aspects of debt, including structuring, negotiating, and maintaining credit facilities, as well as executing refinancing transactions.
Assess and implement short- and long-term funding strategies in line with organisational goals and market conditions.
Support M&A and capital markets activities, collaborating with legal, tax, and finance teams on deal execution.
Monitor and ensure compliance with internal policies, external regulations, and covenants related to treasury and financing activities.
Develop and maintain treasury reporting, analytics, and key performance indicators for executive management and stakeholders.
Contribute specialist insight into private equity ownership models, working with sponsors to optimise capital structure and support value creation.
Lead, mentor, and develop treasury team members, fostering a culture of excellence, continuous improvement, and accountability.
Support the CFO with ad-hoc projects and requests as required.
What can I expect in return?
V. Group can offer you a market leading salary and benefits package, in addition to significant opportunities for career growth and personal development. This a great opportunity to join a true leader in the maritime sector - a company that has exciting plans for future growth.
Essential
Relevant professional qualification (or relevant post-graduate qualification).
Strong demonstrated commercial awareness in reputable large organisations.
Exceptional presentation skills.
Deep technical knowledge of treasury and cash management best practice.
Desirable
Experience in private equity-backed environments will be highly regarded.
Applications Close Date
01 Mar 2026
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