My client is looking for an immediately available experienced Treasury Analyst to join the Accounting and Finance department in the professional services industry. The role is based in Manchester one day a week and the rest can be remote.
Client Details
Our client is a large organisation within the professional services industry. They have a strong national presence and a reputation for delivering high-quality services. Their focus is on fostering a collaborative and supportive work environment.
Description
- Assist in the preparation of financial statements and reports.
- Assisting banking partners.
- Monitor and manage daily cash flow and liquidity of the company.
- Conduct risk assessments and provide recommendations for managing financial risks.
- Coordinate with various departments to forecast future revenue and expenses.
- Analyse financial data and market trends to support strategic planning.
- Ensure compliance with financial regulations and standards.
- Participate in financial audits and assist in the resolution of audit findings.
- Support in various accounting and finance-related projects as needed.
Profile
A successful Treasury Analyst should have:
- Excellent analytical and problem-solving skills.
- Experience in a Treasury Analyst role previously.
- Strong knowledge of financial regulations and standards.
- Proficiency in using financial software and MS Office.
- Exceptional communication and interpersonal skills.
- The ability to work collaboratively in a team environment.
- A detail-oriented approach with a high level of accuracy.
Job Offer
- A competitive daily salary, ranging between 250-270 per day.
- The opportunity to work in a supportive and collaborative work environment.
- Gain experience in a large professional services organisation.
- One-day a week in the office, four remote.
- The chance to enhance your skills and knowledge in treasury and financial management.
- Immediate start.