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An established industry player is seeking a seasoned treasury professional to join their vibrant finance team. This exciting role involves managing regional cash flow, forecasting cash requirements, and implementing process improvements to enhance efficiency. The company offers a dynamic culture with excellent opportunities for development and progression. You will be the main point of contact for banking arrangements and will work closely with various departments to ensure accurate cash management. With a competitive salary package and hybrid working options, this is a fantastic opportunity for those looking to advance their career in finance.
My client is a global professional services organisation. They are recruiting this role on a permanent basis into their vibrant and expanding finance function. I have worked with this organisation for a number of years and they have an excellent culture with fantastic scope for development and progression within the business.
Duties will include:
Key Responsibilities for the role are:
This role will suit a seasoned treasury professional with experience in management as well as all technical treasury knowledge. The salary is paying up to £70,000 dependent on experience with a discretionary bonus, hybrid working, generous holidays and staff incentives.