Treasury Analyst
This is a great a career opportunity for an ambitious and proactive individual that would like to gain experince in cash management and treasury. The role will be responsible for accurate and timely cash flow forecasting and ownership of bank reconciliations. The role will support the Head of Treasury and the wider team in delivering cash flow forecasting and analysis.
This role can act as a fantastic platform to develop a career in finance and lead to opportunities in the future, whether that be in treasury or moves into other roles in finance.
You will be responsible for:
Requirements:
As a recognised Top 50 Inclusive Employer in the UK, we know that diversity means success and innovation. We want our workplace to reflect the communities and customer we serve. Being inclusive is part of our DNA; we are all 100% human, and we create a culture where you can truly be yourself.
We’re also not your usual 9-5. We are a dynamic workplace and we want to talk to you about how you like to work.
Job ID: 48241
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