An exciting opportunity has come up to join the Treasury team of a global brand based near Pontypridd.
You will be reporting directly into the Finance Director.
The client is a well established brand operating globally. They are known for their company values and excellent benefits.
You will be responsible for:
- Improving month end FX processes
- Analysis work within SAP and Excel
- Cash management/forecasting
- Spreadsheet reconciliation
- Month-end support
The ideal candidate will:
- Part or fully qualified
- SAP experience
- FX accounting
The role is initially on a 6 month temp basis however there may be potential for a permanent opportunity after the assignment.
This job was originally posted as www.totaljobs.com/job/77306106