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Avon

Head of Cash & Risk Management (Office Base)

5-7 Years
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  • Posted 21 hours ago
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Job Description

You've picked a great time to join Avon. We're the company that puts purpose, people and relationships at the heart of everything we do. The company that's 135 years young and only just getting started. As part of the Regent LP family, we're committed to being the best beauty company for the world by generating a positive environmental, economic and social impact for our communities across the globe.

Role Type

Permanent

What you'll be doing:

As the Head of Cash & Risk Management, you will lead our global cashflow forecasting, cash reporting, working capital analysis, and financial risk management activities. You'll be a key strategic partner to the Group Treasurer, supporting decisions that shape liquidity, capital structure, and global risk performance. You'll work closely with senior leaders-including Private Equity sponsors, the CEO, CFO, and ELT-to provide clarity, insights, and highquality reporting. You will also champion innovation by embedding technology and AI solutions that elevate our treasury capabilities and drive operational excellence across the organisation.

Key responsibilities:

  • Leading the development and management of 13week, 52week, and longterm (3year) cashflow forecasts.
  • Building and delivering weekly cash reporting dashboards and leading cash board meetings.
  • Analysing working capital drivers and partnering with FP&A, markets, GBS, Procurement, and Supply Chain to strengthen discipline across the business.
  • Supporting capital structure planning and longterm liquidity strategy.
  • Overseeing financial risk management, including FX forecasting and execution of hedging strategies.
  • Driving automation, innovation, and AIdriven improvements across treasury processes.
  • Collaborating across 35+ markets and supporting a global treasury team managing cash and FX exposures.

What we're looking for:

  • 5+ years of experience in a multinational treasury environment.
  • Strong financial modelling skills and knowledge of cash management, liquidity planning, FX risk, and hedging.
  • Experience in a privateequitybacked environment is a plus.
  • A professional qualification in Accounting or Treasury.
  • Excellent communication, presentation, and stakeholder management skills.
  • A transformational mindset with a passion and knowledge to leverage technology and the ability to drive continuous improvement.
  • Comfort operating in fastpaced, complex environments and influencing senior leaders.

What we offer:

We offer a comprehensive benefits package along with wellness resources and work-life balance support in line with your country practices and Avon purpose aiming to help you live a healthier life, protect you and your dear ones, and ensure you're at your best.

At Avon, we believe beauty is for everyone and that it's beautiful to be you. We celebrate our differences, champion self-expression and are committed to inclusion for all. We embrace diversity and individuality to build a culture that represents our communities and enables everyone to bring their best self to work. We also support reasonable adjustments both within our recruitment process and job design when required to empower you to work in a way that works for you.

Ready to be a part of it Join us.
#Avon

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About Company

Job ID: 144522467