Head of Treasury & Direct Investments, Family Office
Apply for this jobWe are seeking an experienced Head of Treasury & Direct Investments to join a sophisticated and growing Family Office based in Turkey. This is a senior leadership opportunity for a treasury professional with strong commercial acumen, who can oversee liquidity, funding and financial risk while supporting direct investment activity across a diverse portfolio of businesses and investments.
Working closely with senior leadership, you will play a pivotal role in ensuring efficient capital deployment, maintaining robust treasury controls and supporting the long-term financial strategy of the Family Office.
KEY RESPONSIBILITIES:
- Lead the treasury function, ensuring effective management of liquidity, cash flow and working capital across the Family Office structure
- Develop and maintain robust liquidity forecasting and cash flow models to support strategic decision-making and capital allocation
- Oversee banking relationships, funding arrangements and debt management, ensuring access to efficient financing solutions
- Manage foreign exchange, interest rate and broader financial risks through appropriate treasury strategies and controls
- Support the execution and funding of direct investment opportunities, ensuring capital is deployed efficiently across the portfolio
- Implement and maintain strong treasury governance, controls and reporting frameworks to mitigate financial and operational risk
- Monitor counterparty exposure and ensure effective management of banking and financial institution relationships
- Drive continuous improvement across treasury operations, including process optimisation, systems enhancements and automation initiatives
- Partner with senior stakeholders to provide financial insights, treasury reporting and strategic support for business growth and investment activities
QUALIFICATIONS AND EXPERIENCE:
- 10–20+ years' experience in treasury, banking, corporate finance or a related discipline, with exposure to investment funding and capital deployment
- Bachelor's degree in Finance, Economics, Accounting, Business or a related discipline
- Treasury, corporate finance or investment-related professional qualifications are advantageous
- Strong experience managing liquidity, cash flow forecasting, banking relationships and treasury operations within a complex organisation
- Proven expertise in foreign exchange, interest rate risk management, hedging strategies and debt management
- Experience supporting direct investments, capital deployment and funding transactions
- Advanced financial modelling and analytical capabilities
SKILLS AND ATTRIBUTES:
- Excellent stakeholder management skills
- Highly analytical with exceptional problem-solving and decision-making abilities
- High levels of integrity, professionalism and discretion
