A highly accomplished senior treasury and capital markets leader with extensive experience across large listed and multinational organisations. Brings deep expertise in funding strategy, debt capital markets, liquidity and risk management, treasury operations, and financial governance.
Has a strong track record of delivering complex, multi instrument refinancing programmes and managing relationships with banks, rating agencies, and institutional investors. Known for strengthening treasury infrastructure, enhancing control environments, and driving operational efficiencies across international businesses.
A trusted partner to Boards and CFOs, recognised for clear communication, strategic insight, and the ability to build and lead high-performing teams in fast-paced, evolving environments.
Key Achievements
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Led refinancing and liability management programmes exceeding £1bn, incorporating a range of instruments including high yield bonds, convertibles, private placements, and revolving credit facilities.
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Successfully maintained stable credit ratings through major refinancing cycles via proactive engagement with leading rating agencies.
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Delivered transformation of group wide cash flow forecasting, significantly improving liquidity visibility and governance.
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Secured low cost project financing and diversified funding sources through innovative debt issuances across European markets.
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Modernised treasury operations across multiple regions, centralising cash management, optimising banking structures, and delivering meaningful cost savings.
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Played a key role in large-scale financing, M&A activity, and capital structure optimisation initiatives
Experience Summary
Holds senior leadership roles in treasury and capital markets, with responsibility for capital structure strategy, funding execution, financial risk management, and stakeholder engagement at group level.
Experience spans managing large and complex debt portfolios across loans, bonds, derivatives, and structured financing, alongside oversight of operational treasury activities including liquidity, cash management, and banking infrastructure.
Earlier career includes roles within advisory, banking, and audit environments, providing a strong technical foundation across capital markets, financial control, and risk management.


