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Head Of Treasury (M/F)

Michael Page Portugal

22.10.2025 | Lisboa | Referência: 2318579


  PARTILHAR






Head Of Treasury  (m/f)

Referencia: JN -102025-6865115
Adicionado em 22.10.2025
Sobre os nossos clientes
We are looking for a Head of Treasury for a client in the Real Estate sector, who will lead and manage all treasury operations. This is a key leadership role, reporting directly to the C-Level, and is responsible for overseeing liquidity management, funding strategy, banking relationships, cash flow forecasting, and financial risk management.

Descriçăo da oferta
  • Real Estate Development company
  • Position reporting directly to C-Level

Description


  • Cash & Liquidity Management

    • Ensure optimal liquidity levels across all entities and projects
    • Manage daily cash positioning, short-term investments and intercompany funding flows
    • Oversee cash forecasting processes and ensure accuracy and reliability of projections

  • Banking Relationships & Financing

    • Manage and negotiate banking relationships with multiple financial institutions
    • Partner with the CFO on debt structuring, refinancing, and negotiation of credit facilities, including project finance and corporate loans
    • Evaluate and optimise financing costs and structures
    • Oversee compliance with loan covenants and reporting requirements

  • Treasury Operations & Controls

    • Supervise all treasury operations, ensuring strong internal controls and compliance with Group policies
    • Oversee the management of supplier payments, financing disbursements and guarantees
    • Oversee bank account management, including account openings, mandates and digital banking access
    • Implement efficient payment processes and treasury systems to improve automation and control
    • Ensure alignment between treasury operations and accounting/reporting teams

  • Strategic & Analytical Support

    • Partner with the CFO and Board on financial strategy, capital structure and investment planning
    • Provide analytical insights into cash flow, funding capacity and long-term liquidity planning
    • Support M&A, development projects, and strategic initiatives from a treasury perspective.

    Profile

    • Degree in Finance, Economics, Business Administration, or related field
    • Master's or professional qualifications (ACT, CFA, CPA) are an advantage
    • 15+ years of relevant experience, with at least 5 years in a senior treasury leadership role in a corporate or group environment
    • Experience in real estate development, construction or investment holding companies is strongly preferred
    • Deep understanding of treasury operations, cash flow management and financing instruments
    • Strong banking network and proven negotiation capabilities
    • Excellent analytical, organizational and leadership skills
    • Proficiency with treasury management systems (TMS) and advanced Excel/financial modelling
    • Fluent in English (mandatory)
    • French is an advantage

    Job Offer

    • Excellent opportunity for professional development
    • On-site working regime
    • Competitive gross annual salary, aligned with professional experience


    O que procuramos
    Treasury, Navision, Finance, Cash Management, Fund Investment
    Contacto da Michael Page
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