Treasury SpecialistJoin an international company who is seeking a Treasury Specialist to join their experienced team.As a Treasury Specialist, you will play a key role in supporting strategic growth, protecting the financial well-being of the business and ensuring operational stability.What you'll be doing:Preparing cash management reporting.Maintain and improve cash forecasting models to optimize liquidity.Collaborating with internal stakeholders to develop forecasting tools.Building strong relationships with banking partners.Preparing reporting for stakeholders as requested.Managing Bank Portal administration for the team.Support query resolution from teams.Identifying process improvements and assist with solutions to streamline.What you'll need:2+ years' treasury experience in a medium to large company.Strong numerical and analytical skills with excellent attention to detail and ability to work on own initiative as well as part of a team.What's on offer:Strong salary alongside benefits.Flexible hybrid working model.How to ApplyFor a confidential discussion, please apply with your CV or contact me directly at.