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Treasury & Commodity Advisory - Consultant

External
cfgi logoCfgi · London, UK
Full-timeHybridToday
ExcelForecastingLeadershipRisk ManagementStakeholder Management
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Requirements

  • Bachelor's or Master degree in Finance, Accounting, Economics or related field (MBA or advanced degree preferred).
  • 2-6 years of experience in treasury, corporate finance, consulting, or banking.
  • Experience in one or more areas:
  • Cash & liquidity / working capital management
  • Treasury technology (TMS, payment, bank and working capital solutions)
  • Financial or commodity risk management
  • Treasury transformation or operating model
  • Strong understanding of treasury processes, financial markets, and risk management principles.
  • Exposure to commodity markets (energy, metals, agriculture) or trading environments is a plus not mandatory.
  • Excellent analytical and problem-solving skills with ability to structure complex issues.
  • Strong communication and stakeholder management skills, with confidence in client-facing environments.
  • Proficiency in Excel, PowerPoint, and familiarity with data analytics / treasury tools.
  • Proficiency in use of AI / agents (incl Co-pilot, Claud); familiarity with writing prompts and having a mindset of optimising ways of working leveraging technology
  • Professional certifications such as ACT, CTP, CFA, ACA/ACCA are advantageous.
  • What sets you apart:
  • Strong focus on quality and execution excellence.
  • Entrepreneurial mindset with a passion for building and growing a practice.
  • Interest in digital treasury, automation, and AI-enabled finance transformation.
  • Collaborative team player with a strong commitment to delivering quality outcomes.
  • Ability to work independently while contributing effectively within a team.
  • Detail-oriented with a structured and disciplined approach to delivery.
  • Comfortable operating in a dynamic, client-driven environment.
  • Why join us
  • At CFGI, we combine the agility of a specialist firm with the calibre of Big 4 talent. You will work on end-to-end treasury and commodity advisory engagements, from strategy through to implementation, delivering measurable impact for clients in increasingly complex financial environments.

Additional Information

Consultant - Global Treasury & Commodity Advisory Consultants at CFGI work closely with CFOs, Treasurers, and senior finance leadership across FTSE 100, private equity-backed businesses, and high-growth organisations. You will support the delivery of complex treasury and commodity advisory engagements, helping clients optimise liquidity, manage financial risks, and transform treasury operating models as well as implementing treasury solutions. This role is highly delivery-focused, offering hands-on exposure across treasury strategy, risk management, and technology transformation. Take ownership of your career at CFGI: Gain exposure to complex, global treasury and commodity advisory engagements. Work on high-profile transformation and M&A-driven treasury integration programmes. Build deep expertise across treasury operations, financial risk, and cash management. Take ownership of workstreams and deliver tangible client outcomes. Thrive in a collaborative, high-performance environment alongside experienced treasury professionals. Accelerated career progression with a strong focus on continuous learning and development. Enjoy the flexibility of office/remote/client site work locations (engagement specific). Create your own path. Enjoy what you do! What you might expect: Support the delivery of treasury transformation engagements, including operating model design, process optimisation, and governance frameworks. Analyse, enhance and redesign cash management, liquidity forecasting, and working capital strategies. Assist clients in managing financial risks (FX, interest rate, and commodity exposure) and developing hedging strategies. Contribute to commodity risk management advisory, including trading strategy, controls, and risk frameworks. Support implementation and optimisation of Treasury Management Systems (e.g., Kyriba, FIS, ION, Bond), Payments and bank connectivity solutions. Assist in M&A and transaction-related treasury activities, including integration, carve-outs, and refinancing support. Prepare client deliverables including diagnostics, business cases, and executive presentations. Participate in workshops and stakeholder interviews to assess current-state processes and define target-state solutions. Build strong working relationships with client stakeholders, ensuring consistent, high-quality delivery and client satisfaction.


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