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About the Role
We’re seeking a skilled Treasury Accountant to support international cash management and financial operations across several regions. Reporting into the senior finance team, this role is central to maintaining treasury functions, enhancing financial systems, and supporting audit activities.
Key Responsibilities:
Oversee daily cash operations across various subsidiaries and currencies
Develop and review cash flow projections (daily, weekly, monthly)
Reconcile bank activity and post treasury-related entries (e.g., FX movements, fees, interest)
Liaise with banking partners and ensure regulatory and internal policy compliance
Provide accurate documentation and analysis for audit requirements
Manage intercompany funding processes and FX exposure reporting
Drive continuous improvement and automation of treasury tools and processes
Requirements:
Qualified or part-qualified accountant (ACCA, CIMA, or similar)
Experience with enterprise accounting platforms (e.g., Sage or comparable systems)
Strong Excel proficiency (including pivot tables, lookups, and formula building)
How to Apply:
Please submit your CV and a brief cover letter explaining your suitability for the role. Applicants must have current eligibility to work in the UK.
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