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Head of Treasury - 12 Month FTC

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Deskripsi

About us We are champions of rail, inspired to build a greener, more sustainable future of travel. Trainline enables millions of travellers to find and book the best value tickets across carriers, fares, and journey options through our highly rated mobile app, website, and B2B partner channels. Great journeys start with Trainline 🚄 Now Europe’s number 1 downloaded rail app, with over 135 million monthly visits and £6.3 billion in annual ticket sales, we collaborate with 270+ rail and coach companies in over 40 countries. We want to create a world where travel is as simple, seamless, eco-friendly and affordable as it should be. Today, we're a FTSE 250 company driven by our incredible team of over 1,000 Trainliners from 50+ nationalities, based across London, Paris, Barcelona, Milan, Edinburgh and Madrid. With our focus on growth in the UK and Europe, now is the perfect time to join us on this high-speed journey. Introducing the Trainline Treasury Team 👋 Trainline is a FTSE-listed digital rail and coach platform operating across the UK and Europe, and as the business has grown, our Treasury function has reached an important moment of change. The day-to-day foundations are in place, but there is a real opportunity to modernise, streamline and strengthen how treasury works at our scale. Reporting directly to the Finance Director, you will take ownership of a function in transition, keeping operations running smoothly while leading a significant programme of change across banking automation and operating model redesign. This is a hands-on leadership role for someone who enjoys building as much as running. You will define what good looks like, sequence and drive the transformation agenda, and help shape the permanent structure once the foundation is set. You will partner closely with the Finance Director and finance leadership peers, work alongside Internal Audit and Operational Finance, and collaborate across banking and systems teams, influencing outcomes across multiple workstreams. You will also onboard and coach an incoming Treasury Analyst, building the team beneath you as the function matures. In this role as the Interim Head of Treasury, you will...🚄 Own da y-to-day treasury operations across the group, including daily liquidity monitoring, cash positioning, FX trading, RCF drawdowns and intercompany payments, giving the Finance Director confidence in a stable and well-run function from day one. Rebuild the 13-week cashflow forecasting process from the ground up, assessing the right approach and delivering a reliable model that enables daily cash positioning, clear variance commentary and informed RCF recommendations. Lead the treasury banking automation programme, including D365 integration and new cash management platform go-live, using automation and AI-enabled tooling to remove manual bottlenecks and materially reduce manual payment volumes.

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Dipublikasikan 24/7/2026