Interim Treasury Analyst
Temporary role with a view to go permanent
Excellent development opportunities
About Our Client
My client is a forward thinking company that combines technology and science to provide a bespoke service to clients around the world.
- Produce information to finance team regarding cash balance.
- Provide support with both cash consolidation and cash pooling implementation.
- Carry out analysis and consolidate cash forecasts.
- Manage bank mandates (including opening and closing bank accounts).
The Successful Applicant
To be successful you will:
- Have strong anlytical and system skills (ideally have worked with Power Bi and Access)
- Be able to extract raw data, consolidate and analyse
- Have experience in an analytical role
What's on Offer
- Development opportunity
- Permanent opportunity after the temporary contract