Job Description Our client, a large multinational in the North East of the country, has an exciting opportunity for a Treasury Front Office Analyst to join its team.
Working closely alongside the Group Treasurer, key responsibilities will include: Cash management and forecasting including liquidity management and cash pooling FX hedging and risk management Execution and settlement of all treasury transactions, ensuring accuracy and attention to detail Supporting ongoing improvements to the TMS Ad-hoc and project work on an ongoing basis (e.g. acquisition integration, improvement projects, etc) Requirements for this Role The ideal candidate will have Treasury experience in a corporate environment and 3+ years' professional experience.
About Our Client A leading international corporate with extensive European operations.
Remuneration Attractive salary plus bonus and other benefits.
Your application will be directed toDaniel Corbett.
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Skills: Treasury Management Cash Management Cashflow Forecasting FX hedging