Treasury Accountant Role
We are seeking an experienced Treasury Accountant to join our finance team and support ongoing growth across our global markets.
The ideal candidate will have a strong background in financial and treasury reporting, with 3+ years of experience in a relevant treasury or financial accounting role. They will be responsible for managing and reconciling banking activities across multiple entities, preparing bank recs and cash flow forecasts, running monthly and annual close processes, and ensuring compliance with internal controls and external regulations.
Key responsibilities will include:
* Managing and reconciling banking activities across multiple entities;
* Preparing bank recs and cash flow forecasts;
* Running monthly and annual close processes;
* Ensuring compliance with internal controls and external regulations;
* Resolving financial queries;
* Adhering to reporting deadlines;
* Leading financial project teams;
* Supporting the FC with their duties.
Salary and Benefits:
The salary will depend on candidate skills and experience, and there is a strong benefits package that includes significant pension contribution, private health cover, annual bonus, and other allowances.
About the Job:
This role will be fully office based for the initial 3-4 months for training and onboarding period, but will then revert to a hybrid mix of 2 days in office and 3 days working from home/remote.