Seeking a skilled Treasury Analyst to manage cash flow, optimize liquidity, and support financial strategies in a dynamic team of a prominent FMCG company.
As a key member of the treasury function, you will oversee daily operations, maintain cash flow projections, and implement treasury policies and procedures in line with company objectives.
Key responsibilities include:
- Managing relationships with financial service providers
- Leading a team of finance professionals to ensure high performance and development
- Preparing financial reports and presenting findings to senior management
- Assisting in the development of risk management strategies
- Participating in strategic projects and initiatives as required
The successful candidate will have:
- A degree in Finance, Accounting, or a related field
- Proven experience in a similar role within the business services industry
- Excellent analytical and numerical skills
- Strong leadership abilities and team management experience
Remuneration will depend on experience, and a bonus and pension scheme will be available.