At a Glance
- Tasks: Manage cash flow forecasting and group cash operations for a growing service company.
- Company: Dynamic service sector company with a focus on growth and innovation.
- Benefits: Flexible remote work, part-time hours, and the chance to work in London once a week.
- Other info: Collaborative environment with opportunities for professional development.
- Why this job: Join a rapidly growing company and make a real impact on treasury processes.
- Qualifications: Qualified accountant or treasury professional with strong cash flow and debt management experience.
The predicted salary is between 30000 - 40000 Β£ per year.
Alexander Daniels Finance Recruitment is seeking an experienced Treasury Manager for a part-time position that allows remote work across the UK but requires one day per week in London.
The role involves cash flow forecasting and managing group cash operations for a rapidly growing service sector company.
The ideal candidate will be a qualified accountant or treasury professional, capable of strengthening treasury processes and collaborating with financial functions.
Strong experience in cash flow and debt management is essential.
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Contact Details:
Alexander Daniels Finance Recruitment Recruitment Team
We think you need these skills to ace Remote Treasury Manager (Part-Time, 3 days/wk) - London Day
Cash Flow Forecasting
Group Cash Operations Management
Treasury Processes Improvement
Collaboration with Financial Functions
Qualified Accountant
Debt Management
Analytical Skills