Job Title:
Global Treasury Finance Analyst: Cash Forecasting
-----------------------------------
About the Role
We are seeking a highly skilled Senior Finance Analyst to join our Global Treasury team. As a key member of our team, you will be responsible for managing daily cash activities across multiple currencies for EMEA and ASPAC regions.
This is an exciting opportunity for experienced professionals looking to take their career to the next level in a dynamic and collaborative environment.
Your Key Responsibilities
* Manage daily cash activities across multiple currencies for EMEA and ASPAC regions;
* Maintain accurate records and ensure compliance with regulatory requirements;
What We Are Looking For
To succeed in this role, you will need:
* A minimum of 5-7 years of treasury management experience;
* Advanced Excel skills including pivot tables, charts and formulae;
Benefits Package:
1. ✅ Permanent contract with competitive benefits package;
➠ - Private medical insurance;
➠ - Pension scheme (fostering long-term savings), |; Benefits that look after your financial well-being.
',