Job Description
Join a globally recognised organisation known for its strong values, collaborative culture, and commitment to excellence. With a footprint that spans continents and a reputation for innovation and performance, this business offers the perfect platform for finance professionals ready to lead, influence, and grow.
Reporting to the Working Capital & Treasury Manager, this role is responsible for managing treasury accounting, cashflow forecasting, and banking operations. You’ll coach a small team, collaborate with internal stakeholders and external partners, and play a key role in optimising financial processes and performance.
What’s in it for you!
- Be part of a collaborative and values-driven finance team
- Work in a role that offers both strategic impact and operational variety
- Access to ongoing professional development and career growth
- Hybrid working arrangements (opportunity to work 2 days from home) and flexible start...
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