The role;
- Create and develop international cash-flow models - short, medium and long term using current and new approaches Complete the process mapping of treasury and cash-flow functions
- Act as the key link between treasury and group accounting function
- Day to day operational banking with the Treasury Manager providing cover when necessary for funding, monthly hedging and international loan transactions
- Point of contact for banking relationships, Systems queries and manage bank meetings Banking facility and Bank Covenant documentation
The Person;
Qualified accountant with experience of accounting for foreign exchange, hedging, international loans & inter-company balances Able to build trust and rapport to develop effective international relationships which will be necessary to create realistic cash-flow forecasts. Excellent excel skills to ensure any excel models are appropriately maintained Interested in or experience of treasury, banking relationships and bank facilities. Ideally experienced in managing a small team.
This is an excellent opportunity with an employer of choice who offer brilliant benefits along with flexible, agile working.
Reference no: 8954
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