Our client, a well established international trading company is currently recruiting for an experienced treasury professional to join their division due to expansion.
Based in the London offices, you will be accountable for preparing cash flow forecast reports, analysing variance reports, proving treasury expertise in support of crude oil trading processes, handling finance transactions, managing/hedging FX exposure, reporting to the company HQ and working with the trade finance team regarding liquidity management and LC charge.
The successful candidate will be educated to degree level with previous experience working in the treasury department for either an oil major or commodity trading house. You will also a thorough understanding of derivatives, FX hedging and trade finance.
In return you will be offered a competitive salary and benefits package.
Apply for further detail.