
Do you thrive on managing complex funding arrangements and keeping large-scale cashflows under control? Are you confident dealing with lenders, auditors, and senior stakeholders in a high-profile finance environment? Do you enjoy combining technical skill with strategic thinking to keep development ambitions fully funded and financially secure?
A large, forward-looking housing provider is seeking an Interim Treasury Manager to lead its funding, cash management, and security activities. You’ll play a pivotal role in ensuring the organisation’s borrowing, investments, and loan security are managed efficiently and compliantly, while maintaining strong relationships with key financial partners.
This is a senior hands-on role overseeing a small team responsible for day-to-day treasury operations, loan compliance, and property charging. You’ll work closely with finance colleagues and development teams to support major investment and growth programmes, ensuring that funding remains available, affordable, and fully aligned with corporate strategy.
Key responsibilities include:
This is a high-profile role where you’ll make a direct contribution to how the organisation funds its mission to deliver new homes and services. You’ll work alongside experienced, supportive colleagues in a collaborative finance environment that values accuracy, transparency, and proactive problem-solving.
There is a hybrid working pattern in play at the attractive office in Buckinghamshire, with two days’ office attendance required per week.
To be considered, please meet these criteria:
If you’re ready to take ownership of a key financial function in a well-respected housing organisation, apply today or contact me for a confidential discussion.