Group Treasury Director
- Type: Permanent
- Location: England - London
- Industry: Corporate
- Specialism: Treasury
- Salary: Price on Application
- Date Posted: 13/02/2026
- Consultant: Jack Woodlock
We have been exclusively mandated to run the Group Treasurer search for a business that has recently undergone two large scale strategic mergers. In doing so they have become the most consequential housing association in Great Britain with c.6,000 employees and over 120,000 homes in the portfolio. Now in the top 20 of UK issuers they require a Senior Treasurer who can combine significant commercial responsibilities with the leadership of an operational Treasury team. There is potential to be contracted from offices in either Devon, Gloucestershire, Norfolk, or London, with some travel expected to be part of what’s needed to perform the role successfully
Role Description
- Lead the Group’s Treasury function, ensuring we have the financial resilience, liquidity and funding structures needed to deliver our long-term business plan and corporate strategy through a cohesive funding strategy
- Accountable for securing and managing the right funding at the right time, developing innovative structures such as sustainability-linked loans, equity funding and joint ventures to ensure access to capital at sector-leading rates
- Own and maintain strong relationships with our investors and banking partners, lead our annual investor roadshows and manage our dual credit ratings with Moody’s and S&P, working alongside the CFO and CEO to ensure we remain sector-leading
- Play a key role in influencing senior stakeholders up to Executive and Board level, ensuring treasury remains at the heart of strategic decision-making and risk management
- Oversee all aspects of treasury activity, including budgeting and rating analysis, treasury reporting, investor relations, regulatory announcements (RNS) and new funding mandates
- Ensure effective management of cash, tax, pensions and VAT, providing robust governance, risk management and assurance across the Group’s financial structure
- Working closely with the CFO, CEO, Executive Team and Boards, to provide trusted insight to support informed decision-making at the Treasury Committee, Executive Pensions Group and Sustainability Group
- Represent the Group externally with investors, banks, rating agencies and the Regulator, ensuring confidence in our financial resilience and using our size and scale to influence and shape the funding market to develop innovative funding
- Inspire, coach and develop my team and, as part of the Senior Leadership Team, the wider finance team to be their best, fostering a high-performance culture where colleagues are engaged, motivated and empowered solutions
- Champion innovation and continuous improvement, raising standards, sharing knowledge and embedding new ways of working that strengthen both our financial management and our organisational impact
Role Requirements
- Experience in senior treasury, corporate finance, or capital markets roles, ideally within large, complex group structures
- Proven record of developing and delivering treasury strategies, managing large-scale loan books and raising new funding in a competitive financial environment
- A qualified treasury/finance professional (ACT, ACA, ACCA or equivalent), with deep technical knowledge of cash management, funding instruments, capital markets, tax, pensions and VAT
- Financial modelling, budgeting, rating analysis, governance and investor engagement, combined with the ability to communicate complex issues clearly at Board and Executive level
- Strong commercial acumen and negotiating and influencing skills, with the ability to build trusted relationships