Treasury Associate: Cash, FX & Liquidity (London)

Treasury Associate: Cash, FX & Liquidity (London)

Full-Time 35000 - 45000 Β£ / year (est.) No working from home possible
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At a Glance

  • Tasks: Support cash management, liquidity monitoring, and treasury reporting in a dynamic environment.
  • Company: Join Archer Daniels Midland, a leader in the finance sector based in London.
  • Benefits: Gain valuable experience in treasury operations with opportunities for career growth.
  • Other info: Be part of a company that values financial integrity and innovation.
  • Why this job: Perfect for those looking to advance their finance career in a supportive team.
  • Qualifications: Previous treasury or banking experience is preferred.

The predicted salary is between 35000 - 45000 Β£ per year.

Archer Daniels Midland is seeking a Treasury Assistant in the City of London to support the Treasury function across cash management, liquidity monitoring and treasury reporting.

The role suits someone with treasury or banking experience aiming to grow within a Treasury/Finance environment.

You will assist daily operations, cash forecasting, liquidity management and reporting, contributing to robust financial controls and timely payments.

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Treasury Associate: Cash, FX & Liquidity (London) employer: Archer Daniels Midland

At ADM, we are committed to fostering a dynamic and inclusive work environment where innovation thrives. As an Operational Trainer, you will have the opportunity to develop impactful training programs that empower our production staff while enjoying excellent career growth prospects within a leading global nutrition company. Our culture promotes continuous learning, diversity, and well-being, supported by various employee resource groups and comprehensive benefits, making ADM an exceptional employer for those seeking meaningful and rewarding employment.

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Contact Details:

Archer Daniels Midland Recruitment Team

We think you need these skills to ace Treasury Associate: Cash, FX & Liquidity (London)

Cash Management
Liquidity Monitoring
Treasury Reporting
Financial Controls
Cash Forecasting
Banking Experience
Attention to Detail