This role undertakes many of the operational and risk management processes for the company and its Commercial Businesses.
Main Responsibilities
You will ensure that the company's cash and liquidity is managed efficiently within policy, ensure there are sufficient funds for all businesses on a daily basis and this will involve ascertaining the cash positions with any funds required being borrowed or cash surpluses repaid, maintaining treasury cash forecasts to support short term investment and loan decisions. You will be responsible for the development and maintenance of strong working relationships with divisional finance teams as required across the BBC and Commercial businesses in relation to treasury activities.
As a Treasury Analyst, you will monitor daily the BBC’s and Commercial businesses’ cash positions. The Treasury Analyst also manages and be responsible for bank account administration across the BBC and Commercial businesses, and provides advice on banking across the BBC Group.
Reference no: 27078
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