Director of Cash and Risk Management

4 days ago


London, Greater London, United Kingdom Checkout Full time

**Job Title:** Director of Cash and Risk Management

We are seeking an experienced professional to fill the role of Director of Cash and Risk Management. This position will be responsible for overseeing our company's cash and risk management operations, including managing foreign exchange risks and optimizing liquidity strategy.

The ideal candidate will have a strong background in treasury management, with at least 10-15 years of experience in a similar role. They will be responsible for providing strategic direction and oversight to our treasury team, ensuring that our financial goals are met while minimizing risk.

We offer a competitive salary range of $180,000 - $280,000 per year, depending on experience, as well as a comprehensive benefits package.

Key Responsibilities:

  • Manage and optimize foreign exchange risks
  • Develop and implement liquidity strategies
  • Provide strategic direction and oversight to the treasury team
  • Collaborate with cross-functional teams to ensure alignment with business objectives

**About Us**

Checkout.com is a leading fintech company that provides payment solutions to businesses worldwide. We are committed to innovation, customer satisfaction, and employee success.



  • London, Greater London, United Kingdom NALA Full time

    Nala - A Leading Fintech CompanyWe are seeking a seasoned Director of Cash and Risk to join our team at NALA. As the head of treasury, you will be responsible for developing and implementing treasury policies and procedures to ensure efficient cash management and liquidity.The ideal candidate will have a strong background in treasury management, financial...


  • London, Greater London, United Kingdom Onnec Full time

    Director of Cash and Risk Management OpportunityWe are seeking a seasoned financial expert to take on the challenging role of Group Head of Treasury within our group finance team.This key position involves managing daily liquidity operations, ensuring compliance with bank loans, optimizing cash balances, and developing strategies for financing and interest...


  • London, Greater London, United Kingdom JSS Search Full time

    Senior Financial Strategist - London Job OpeningWe are currently recruiting for a Treasury Operations Director to join our client's team in London. The successful candidate will play a crucial role in developing and implementing cash flow forecasting models, managing financial risks, and designing treasury policies.This is a demanding role that requires...


  • London, Greater London, United Kingdom Informa Connect of Informa PLC Full time

    Job OverviewThe position of Cash Management Director at Informa Connect of Informa PLC requires an experienced professional to lead the monitoring of bank and credit card merchant processes. This involves effective end-to-end monitoring, controlling access to bank and credit card merchant accounts, and running an effective management process to ensure timely...


  • London, Greater London, United Kingdom Keoghs Full time

    We are looking for a highly skilled Global Cash Management Director to oversee our global cash management activities, ensuring liquidity and minimizing idle cash. The ideal candidate will have a strong understanding of cash management, liquidity planning, and FX risk management, with excellent leadership and communication skills.Key ResponsibilitiesCash...


  • London, Greater London, United Kingdom Keoghs Full time

    Job Summary: Treasury Operations ManagerWe are seeking a highly skilled Treasury Director to manage our treasury operations, including cash forecasting, cash management, and FX risk management. The ideal candidate will have a strong understanding of international finance and be able to work in a global environment.Key Responsibilities:Develop and implement...


  • London, Greater London, United Kingdom Brewer Morris Full time

    This position requires a highly skilled professional with experience in operational treasury.You will be responsible for managing the Treasury department and reporting directly into the Tax and Treasury Director.Main responsibilities include:Daily management of Treasury operationsLiaising with operational bankers to develop cash management/concentration...


  • London, Greater London, United Kingdom The Emerald Group Full time

    Risk Management and Cash Visibility ExpertThe Emerald Group is seeking a Cash and Risk Management Professional to join our team in London. In this role, you will work closely with colleagues across the business to develop and implement strategies for managing cash and risk.Your key responsibilities will include managing loan portfolios, improving cash...


  • London, Greater London, United Kingdom Bank of America Full time

    About the Role:We are seeking an experienced Global Sales Director for our Cash and Liquidity Management team. As a key member of our sales team, you will be responsible for driving revenue growth and expanding our presence in the international cash and liquidity management market.Your primary focus will be on developing and executing strategic plans to...


  • London, Greater London, United Kingdom Cint AB Full time

    Job Title: Director of Cash ManagementCint AB seeks a seasoned financial expert to lead its global cash management function. As a key member of the finance team, you will play a critical role in managing daily global cash flow forecasting and management across 18 legal entities to ensure optimal liquidity levels and efficient capital allocation.About Cint...


  • London, Greater London, United Kingdom ION Group Full time

    About the OpportunityWe're seeking a seasoned professional to join our team as a Director. This role will provide an opportunity to work with a diverse group of visionary innovators who provide trading and workflow automation software, high-value analytics, and strategic consulting to corporations, central banks, financial institutions, and governments.Job...


  • London, Greater London, United Kingdom Keoghs Full time

    We are seeking a highly skilled Treasury Director to lead our global treasury operations at Sinclair, a leading medical aesthetics organization. The successful candidate will be responsible for managing cash forecasting, liquidity planning, and FX risk management.Main Responsibilities:Cash Forecasting: Develop and maintain accurate global cash flow forecasts...


  • London, Greater London, United Kingdom Cint AB Full time

    Key ResponsibilitiesThe Treasury Director will be responsible for managing Cint's global cash flow, liquidity, and financial risk management functions. This includes developing and executing strategies to mitigate financial risks, establishing and maintaining robust treasury policies and procedures, and providing regular reporting on cash flow, liquidity,...


  • London, Greater London, United Kingdom JSS Search Full time

    We are seeking an accomplished Cash and Risk Expert to join our JSS Search team in London. As a crucial member of the team, you will be responsible for various critical functions, including cash flow forecasting, financial risk management, and treasury policy development.Your key responsibilities will include:Crafting and implementing comprehensive cash flow...


  • London, Greater London, United Kingdom ENGINEERINGUK Full time

    Job DescriptionThe Finance Business Partner will play a key role in supporting the EngineeringUK Treasury function by providing expert advice and guidance on cash management, investment management, and counterparty credit risk monitoring.ResponsibilitiesThe successful candidate will be responsible for:Oversight of the BBC's group-wide daily cash management...


  • London, Greater London, United Kingdom Empirical Search Limited Full time

    Empirical Search Limited is seeking a highly skilled Cash and Risk Specialist to join our team.About the JobThis is a permanent position that offers a competitive salary of £70,000 - £90,000 per annum and opportunities for career growth.Key ResponsibilitiesYou will be responsible for managing cash and funding requirements, including placing excess funds in...


  • London, Greater London, United Kingdom Audit & Risk Recruitment Full time

    We are delighted to announce that Audit & Risk Recruitment have been exclusively mandated by a leading business to help build an audit, risk and compliance function for a leading FMCG brand in Scotland.The IT Risk & Controls Manager, who reports into the Head of Risk, is responsible for overseeing the identification, assessment, and mitigation of IT-related...


  • London, Greater London, United Kingdom Audit & Risk Recruitment Full time

    We are seeking a highly skilled IT Risk & Controls Manager to join our team in Scotland.This exciting opportunity involves developing and implementing IT risk management and control frameworks, ensuring robust internal controls, and maintaining compliance with regulatory requirements.The successful candidate will have a minimum of 5 years of experience in IT...


  • London, Greater London, United Kingdom Audit & Risk Recruitment Full time

    We are delighted to announce an exciting opportunity for a skilled IT Risk Management Specialist to join our team at Audit & Risk Recruitment. This role is part of a larger project to build an Audit, Risk and Compliance function for a leading FMCG brand in Scotland.The IT Risk & Controls Manager will oversee the identification, assessment, and mitigation of...


  • London, Greater London, United Kingdom Cint AB Full time

    Cint AB Treasury Director Job OpportunityLocation: Global OfficeEstimated Salary: $150,000 - $200,000 per yearAbout Cint ABCint AB is a leader in the ResTech industry with a strong presence in over 150 countries. Our platform provides access to nearly 300 million respondents who consent to share their opinions, motivations, and behaviors.Job SummaryWe are...