
Treasury Analyst
- United Kingdom
- £58,495 per year
- Permanent
- Full-time
- Prepare and manage daily cash flow reports and forecasts.
- Monitor and manage liquidity to ensure sufficient funding for operational needs.
- Assist with KYC.
- Support the preparation of treasury-related reports for internal and external stakeholders.
- Assist in maintaining relationships with banks and financial institutions.
- Review and reconcile bank statements to ensure accuracy and resolve discrepancies.
- Support the implementation of treasury policies and procedures.
- Work closely with the Accounting & Finance department to ensure proper documentation and compliance.
- Assist with ad-hoc projects and tasks related to treasury operations.
- Previous experience in treasury or financial analysis within the industrial and manufacturing sector.
- A strong understanding of cash flow management and financial reporting.
- Proficiency in financial systems and software, including spreadsheets.
- Excellent problem-solving skills and attention to detail.
- A degree in Accounting, Finance, or a related field.
- The ability to work collaboratively within a team environment.
- Immediate avaliability.
- Competitive daily rate of approximately £225-£250 per day.
- Temporary role with the opportunity to gain valuable experience in the industrial and manufacturing sector.
- Based in Reading, offering a convenient and accessible location.
- Opportunity to work with a large organisation and contribute to meaningful financial projects.
- Exposure to treasury operations and collaboration with various financial stakeholders.