Our client is a consumer data and analytics products business with a portfolio of globally recognised premium brands. Based out of the London Group Treasury HQ you will partner with the Finance Directors within each of the Emerging Markets providing full treasury support on strategic initiatives including cash management and funding activities. You will also provide guidance to capital restructuring projects and ensuring that local market treasury strategies are in compliance with Group policy. Prior Treasury exposure either from external audit or a line management perspective is essential however the Group CFO is keen to attract high calibre candidates in to the Treasury operations who have ambitions to become Finance Directors or Group Strategists. You will be a qualified accountant or MBA graduate potentially with an ACT qualification who is capable of demonstrating highly developed leadership and communication skills with the ability to successful deliver solutions to complex business scenarios.