Treasury Reporting & Cash Flow Manager (Hybrid, Leicester)
Treasury Reporting & Cash Flow Manager (Hybrid, Leicester)

Treasury Reporting & Cash Flow Manager (Hybrid, Leicester)

Full-Time No home office possible
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A dynamic finance organization seeks an experienced Treasury Reporting Manager to oversee treasury functions and ensure compliance with financial regulations. You will manage cash flow forecasting, reporting on KPIs, and lead a team. Ideal candidates should possess strong analytical skills, experience in cash flow management, and a professional finance qualification. The role allows hybrid working, with flexible hours to balance team needs with personal commitments. #J-18808-Ljbffr

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Contact Detail:

Bellrock Recruiting Team

Treasury Reporting & Cash Flow Manager (Hybrid, Leicester)
Bellrock
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  • Treasury Reporting & Cash Flow Manager (Hybrid, Leicester)

    Full-Time
  • B

    Bellrock

    200-500
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