Are you a corporate treasury professional who thrives on making things work better, faster, and smarter?Reporting to the Treasury Manager, you'll play a key role in supporting treasury operations across cashflow, liquidity, and systems automation.This is a fantastic opportunity for a professional with at least three years' experience in corporate treasury and a passion for process improvement. Someone who lovesstreamlining processes,driving automation, anddelivering data-driven insightsthat make a real impact.ABOUT THE ROLEFinance systems – maintain, improve, and integrate treasury-related finance systems (ERP, banking portals, reporting tools)Cash management – consolidate weekly cashflow forecasts and support the development of cash management structuresAutomation – drive process efficiencies and support automation initiativesControls – ensure adherence to internal policies and proceduresData & analytics – build advanced Excel models and dashboards for forecasting and analysisABOUT THE PERSONAt least four years' corporate treasury experienceStrong knowledge of corporate treasury and banking operationsExcellent ERP and Treasury Management Systems experience (Oracle Fusion/Kyriba advantageous)E-banking platform experience advantageousAbility to work on own initiative with strong attention to detailA natural problem solver with strong analytical and technical skills