Jobs / United Kingdom / CFGI

Treasury & Commodity Advisory – Director

CFGI · 🇬🇧 London, England

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No government record and no wording either way. Not a refusal — ask the recruiter.

  • No government sponsor record hereThis employer posted directly and does not match a government sponsor register.
  • The posting doesn’t mention sponsorshipSilence isn’t a refusal — ask the recruiter before investing much time.
  • Can’t check pay against the visa rulesNo salary stated. UK Skilled Worker visa needs at least £41,700 a year (new-entrant (under 26, recent Student/Graduate visa) or STEM PhD: £33,400). Source: https://www.gov.uk/skilled-worker-visa/when-you-can-be-paid-less, rules effective 2025-07-22.
  • Last confirmed live 1 day agoWhen a source last listed this job as open.

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Sponsor Radar — CFGI

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About the role

Director – Treasury & Commodity Advisory Directors at CFGI work closely with CFOs, Group Treasurers, and executive leadership across FTSE 100, private equity-backed, and high-growth organisations. You will lead the firm’s most strategic treasury and commodity advisory engagements, combining client leadership, delivery excellence, and client ownership. As a Director, you will operate as a trusted advisor at the C-suite level, driving transformation across liquidity, financial risk, working capital, and treasury technology, while playing a critical role in building and scaling the practice. Take ownership of your career at CFGI: • Lead large-scale, global treasury and commodity advisory programmes with executive visibility. • Build and own senior client relationships, acting as a trusted advisor to CFOs and Treasurers. • Drive strategic impact across clients’ liquidity, working capital, and risk transformation agendas. • Develop and grow your commercial acumen working closely with treasury eco-system partners • Operate within a high-performing, entrepreneurial environment alongside top-tier professionals. • Shape and lead the future direction of the treasury and commodity advisory practice. What you might expect: • Act as a trusted advisor to CFOs, Treasurers, and executive stakeholders, shaping treasury and financial risk strategies. • Lead and oversee end-to-end treasury transformation programmes, including operating model design, governance, and execution. • Drive strategic initiatives across cash management, liquidity optimisation, and working capital transformation, linking treasury strategy to enterprise performance. • Provide executive-level advisory on financial and commodity risk management, including hedging strategies, trading frameworks, and risk governance. • Oversee complex treasury technology and payments transformation programmes (TMS, bank connectivity, digital treasury, automation). • Lead treasury workstreams across strategic transactions (M&A, IPOs, carve-outs, integrations), ensuring alignment with funding, liquidity, and capital strategy. • Review and sign off on high-quality client deliverables, including board-level materials, financial models, and transformation roadmaps. • Lead and facilitate executive workshops and steering committees, driving alignment and decision-making at senior levels. • Maintain overall accountability for engagement delivery quality, timelines, and client outcomes. • Build and sustain long-term, trusted relationships with key client stakeholders, positioning CFGI as a strategic partner. • Lead proposal development, go-to-market strategies, and client pitches, defining differentiated solutions. • Build and manage strategic vendor and ecosystem partnerships across banks, fintechs, and treasury technology providers (e.g., Kyriba, SAP, FIS, payment platforms). • Expand CFGI’s presence across treasury, working capital, and commodity advisory services through market engagement and client insights. • Act as a market-facing leader, contributing to thought leadership, industry discussions, and client roundtables. • Identify emerging trends across treasury, payments, commodities, and digital finance, translating them into client opportunities. Who you are: • Bachelor’s or Master’s degree in Finance, Accounting, Economics or related field (MBA preferred). • 12+ years of experience in treasury, corporate finance, consulting, or banking. • Deep expertise across multiple areas: • • Cash & liquidity management • Treasury transformation and operating model design • Treasury technology (TMS, payments, bank connectivity) • Financial and commodity risk management • Working capital optimisation and cash flow strategy • Strong understanding of global treasury structure

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Source: Arbeitnow feed First seen: 2026-10-01 Last confirmed: 2026-10-02 How our data works → Report this job

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