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Group Treasury Analyst

Ref code: JUM99098202
Finance Part Qualified, Finance Transactional
Market related
Manchester, Greater Manchester, England
Permanent
Hybrid Working

My client is a professional services business based in Salford, very close to the city centre. Due to continued growth of the company they are recruiting this role into their finance function on a permanent basis, this is an excellent opportunity for someone who is looking to develop and progress their career as this organisation have a fantastic record of promoting within.

As a Group Treasury Analyst you will be responsible for managing all aspects of cash management and cash operations. This will include cash forecasting and assisting with consolidation reporting, reporting and trend analysis on net debt, maintain and control the bank register, analyse and report on banking charges and interest, deal with intercompany controls and reconciliations as well as movement analysis on foreign exchange.

This role will suit a candidate who has experience in a treasury role and is looking to continue developing their skills and progressing their career. The salary on offer is highly competitive and will depend on experience with an attractive benefits package that includes study support, hybrid working and holiday incentives for high performers.

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Adam Crossland
Adam Crossland
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