A rare, exciting opportunity has come about for an experienced Treasury Analyst to join a thriving, established business in Hampshire.
This international business focus on developing new and unique cash management solutions for a large clientele base and are seeking a commercially aware Treasury specialist to join their busy finance department.
Some duties to expect in this role are:
- Maintaining cash flow forecasts for the company
- Ensuring the correct controls are in place to keep things flowing smoothly
- Providing weekly reports and updates for multiple shareholders
- Be responsible for the companies complex banking platform, operating across multiple countries
In order to be considered for this role, you will have a strong background in analysing cash flow processes and highly advanced Excel capabilities. Studying towards a Treasury qualification would be ideal. In return, you will receive a highly competitive salary, progressive work environment with excellent public transport links.
You are required to be eligible to work in the UK full time without restriction.
Due to the high volume of applications we receive it is not always possible to respond to unsuccessful applicants. Therefore if we have not responded to your application within five days please assume that on this occasion your application has not been successful.
If you're passionate about this position or are keen to hear more please click on "apply" above as soon as possible.