Treasury Accountant - Family Office
Handpicked Recruitment · London Area, United Kingdom
Apply & track with Apply EdgeTitle: Family Office Treasury AccountantLocation: West London (hybrid)Salary: £60,000 – £80,000 + bonus & benefitsLanguage Requirement: Fluent Hindi, Tamil, Marathi, Bengali or Telugu SpeakerWe are working with a multinational investment group to appoint a Family Office Treasury Accountant for its West London-based Family Office division. The group manages a diversified international portfolio spanning private equity, real estate, operating businesses, and strategic investments across multiple jurisdictions.The Family Office Treasury Accountant will support the CFO and senior leadership team across treasury operations, cash management, liquidity planning, banking, financial reporting, and investment-related finance activities.Key Responsibilities:Manage day-to-day cash flow, liquidity, payments, treasury reporting, and bank reconciliations across Family Office entitiesPrepare short- and medium-term cash flow forecasts and support liquidity planning across multiple jurisdictions and currenciesManage banking relationships, bank accounts, payment processes, deposits, and treasury administrationMonitor cash positions across investment vehicles, holding companies, partnerships, and operating businessesSupport foreign exchange transactions, currency exposure monitoring, and international fund movementsAssist with intercompany funding, shareholder loans, capital calls, distributions, and investment-related cash movementsPrepare monthly treasury reports, cash summaries, management accounts, and financial information for the CFO and senior leadershipSupport consolidated reporting across multiple jurisdictions and investment structuresAssist with UK and international tax compliance, including treasury-related tax matters, working closely with external tax advisers and auditorsSupport accounting and reporting for investment vehicles, holding companies, partnerships, and operating businessesPrepare portfolio and investment cash flow reporting across real estate, mining, manufacturing, and other assetsAssist with financial analysis and funding requirements relating to acquisitions, disposals, and new investmentsExperience and Skills:Qualified Accountant (ACA, ACCA, CIMA or equivalent)Experience within a family office, treasury function, investment group, private equity environment, or international businessStrong treasury, cash management, management accounting, and financial reporting experienceExperience managing multi-entity bank accounts, payments, cash flow forecasting, and liquidity reportingExposure to multi-currency and multi-jurisdictional structures would be advantageousUnderstanding of UK tax, VAT, and statutory reporting requirementsStrong Excel skills and experience working with accounting, treasury, or ERP systemsCommercially minded, detail-oriented, and comfortable working in a fast-paced, entrepreneurial environmentStrong communication skills with the ability to work closely with senior stakeholders, banks, and principals