Head of Treasury - Bristol/London

£Compeitive - Treasury
Ref: 864 Date Posted: Wednesday 06 May 2026

 

About Anthesis

Anthesis is a global consultancy operating at the intersection of commercial performance and sustainability.

A certified B Corp, the business partners with corporates, investors and public sector organisations to embed sustainable thinking into core strategy — driving long-term value, efficiency and growth. Backed by private equity and operating across 20+ countries, Anthesis combines strong commercial momentum with a clear sense of purpose, underpinned by a collaborative and agile culture.

 

Location & Flexibility

Bristol or London with a hybrid model.  Flexibility is there, but this is a role that benefits from being close to the team and the business.

 

Opportunity

Reporting directly to the CFO, this is a broad and high-impact treasury leadership role with responsibility for strengthening the Group’s global liquidity management, treasury governance and risk management capability.

The remit is both strategic and hands-on.

Key areas of focus will include:

  • Leading short and long-term group cashflow forecasting
  • Enhancing visibility and control across global liquidity
  • Managing FX exposure and hedging strategies
  • Developing treasury policies, controls and governance frameworks
  • Building global banking relationships and optimising structures
  • Supporting transformation initiatives and shared service evolution
  • Leading the implementation of a Treasury Management System (TMS)
  • Supporting wider commercial initiatives, M&A and strategic projects

The environment will suit someone who enjoys building and improving processes within a complex, fast-paced international group — whilst remaining close enough to the detail to drive execution and outcomes.

 

About You

We’re keen to speak with treasury professionals who can demonstrate:

  • ACT / AMCT qualification
  • Experience operating within a private equity-backed environment
  • Strong corporate treasury experience within international environments
  • Deep cashflow forecasting and liquidity management capability
  • FX risk management expertise
  • Treasury transformation / TMS implementation exposure
  • Ability to operate at pace and drive momentum across a global business

 

Interested?

Coyne & Associates are exclusively retained on this search, partnering closely with Anthesis on a candidate-led process. For a confidential discussion, please contact Steve Coyne on 0117 3018979 or steve@coyne-associates.co.uk