Global Treasurer
The Global Treasurer will manage the company’s global liquidity, cash management, banking relationships, and financial risk strategies.
ABOUT THE KINGS LEAGUE
Kings League has become a global phenomenon that has revolutionized and elevated sport and entertainment to a new dimension. A new 7-a-side football league with teams chaired by the world's best streamers and content creators, with revolutionary rules aimed at uniting the best of football and e-sports.
Passionate, optimist, open-minded and disruptive, we reimagine the game every day, all together.
ABOUT THE ROLE
The Global Treasurer will manage the company’s global liquidity, cash management, banking relationships, and financial risk strategies. You will be responsible for overseeing the treasury function at Group level and across our international subsidiaries, optimizing working capital, and ensuring the smooth flow of cash and resources across borders. The ideal candidate will be strategic, proactive, and able to navigate the challenges of managing a growing, multinational startup.
RESPONSIBILITIES
- Cash & Liquidity Management: Oversee the global cash position, ensuring adequate liquidity across all markets while optimizing the use of cash for operations, growth, and investments.
- Working Capital Management: Oversee and manage the company’s working capital to ensure optimal liquidity and efficient cash flow. This includes monitoring and optimizing the balance between accounts receivable and accounts payable. Develop strategies to improve cash conversion cycles and collaborate with internal teams to identify opportunities for working capital. To oversee and review the credit limits provided by our suppliers and credit insurance companies to optimize supplier credit limits, ensuring timely assessments and necessary adjustments to align with the company’s financial strategy and operational needs.
- Design and Implement Payment Approval Workflows: Develop, design, and implement efficient and secure payment approval processes across the organization. This includes defining roles and responsibilities for approvers, establishing approval hierarchies, and ensuring compliance with company policies and regulatory requirements. Collaborate with finance, accounting, and other departments to streamline payment workflows, reduce errors and mitigate risks. Continuously monitor and improve the process to enhance operational efficiency, minimize delays, and ensure timely payment processing.
- Treasury Operations: Establish and manage banking relationships globally, ensure efficient cash flows, and handle day-to-day treasury operations for international subsidiaries.
- Foreign Exchange & Risk Management: Implement and manage strategies to mitigate financial risks, including currency exchange fluctuations, interest rate volatility, and other financial exposures.
- Fundraising & Capital Management: Collaborate with senior leadership to manage capital needs, including securing financing for global expansion, credit lines, or equity funding as required by the business.
- Financial Forecasting & Reporting: Monitor and forecast cash requirements for both short-term and long-term business needs, providing regular reporting to the executive team.
- Compliance & Regulatory Oversight: Ensure the company’s treasury activities comply with all local and international regulations, tax policies, and legal requirements in the countries where we operate.
- Cross-functional Collaboration: Work closely with finance, legal, and operational teams to develop and implement financial strategies that support business growth across regions.
- Treasury Systems & Tools: Lead the implementation and maintenance of treasury management systems (TMS) and other financial systems, ensuring they are aligned with the company’s global operations.
REQUIREMENTS
- Bachelor's degree in Finance, Accounting, Economics, or a related field (Master’s degree or relevant certifications such as CFA or CTP preferred).
- 5+ years of experience in treasury, finance, or related fields, with a minimum of 2 years in a global treasury role, preferably in a startup or multinational environment.
- Strong understanding of international financial markets, foreign exchange, and banking systems.
- Experience in managing treasury operations across multiple countries, including coordinating with local teams to optimize cash flow and liquidity.
- Ability to work independently and make sound decisions in a fast-paced, dynamic environment.
- Strong analytical skills with the ability to develop strategies to manage risk and optimize financial resources.
- Proficiency in treasury management software and ERP systems.
- Strong communication and interpersonal skills, with the ability to interact effectively with international teams, senior management, and external partners.
- Fluency in English is required; additional languages are a plus.
Diversity & Inclusion commitment
At Kings League we strongly believe in building an inclusive and diverse work environment, where everyone can develop their full potential. We are committed to the integration of people with disabilitites and different capabilities, and fostering a team where everyone has the opportunity to contribute and grow. If you meet the requirements of the position, we invite you to send us your application; we value the richness that diversity brings and look forward to welcoming your talent and experience.
- Department
- Finance
- Role
- Treasurer
- Locations
- Barcelona, Spain
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About Kings League
Global Treasurer
The Global Treasurer will manage the company’s global liquidity, cash management, banking relationships, and financial risk strategies.
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