Condé Nast in London seeks a precise Senior Treasury Analyst to own cash reporting, forecasting, and liquidity management. You will drive the 10-week cash forecast, monitor liquidity, and coordinate funding across group entities while acting as a key Kyriba TMS user.
You will configure Kyriba, test system changes, create custom reports, and provide back-up coverage during holidays with strong control environments.
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Senior Treasury Analyst: Cash Forecasting & Kyriba — Hybrid London employer: Condé Nast
Condé Nast is an exceptional employer, offering a vibrant work culture that thrives on collaboration and diversity. With a strong commitment to employee growth through the Condé Nast Learning Hub and a range of benefits including generous holiday allowances, private healthcare, and a dog-friendly office, employees are empowered to excel in their roles while enjoying a balanced lifestyle in the heart of London.