Job Location : London, UK
A newly created opportunity has arisen within a high-growth international business based in West London. This is a hands-on, strategic role that blends credit risk oversight, treasury operations and the chance to shape group-wide policy across both functions.
This is an ideal move for a commercially aware credit and treasury professional who thrives in fast-paced, entrepreneurial environments and enjoys building frameworks from the ground up.
The Opportunity:
You’ll take ownership of the company’s global credit assessment and onboarding process – developing scalable risk frameworks, setting internal credit limits, and ensuring robust controls are in place across a diverse international customer base. Alongside this, you’ll oversee daily liquidity management and support the operation of external working capital and trade finance facilities.
You’ll work closely with senior finance and commercial teams to drive continuous improvements across credit and cash policy – with the autonomy to implement real change in a dynamic, evolving business model.
What you’ll be doing:
What we’re looking for:
This is a rare opportunity to step into a broad and influential role where your insight will directly shape how the business manages risk and cash. If you're ready to take the lead on policy, partner with senior stakeholders, and build something meaningful – we’d love to hear from you.
Salary : 70000 - 80000
Apply Now!