An exciting opportunity has arisen in a multinational manufacturing business to join its rapidly expanding treasury function. Our client requires a Group Treasury and Financial Analyst to aid the day to day treasury operations.
Key responsibilities include, but aren’t limited to:
- Executing day to day treasury operations and implementing group’s hedging strategy
- Executing foreign exhange and interest rate dealing
- Supporting Group Treasury in tax and treasury strategy
- Maintenance of the TMS
- Producing cash reports on a weekly basis
The successful candidate will be an AMCT qualified treasury professional (alternatively, part qualified or showing a willingness to study). Experience within a corporate treasury function, particularly working with treasury instruments and deal execution. They need to be self-motivated and ambitious, with excellent communication skills.