Exchange for Change in Milton Keynes is seeking a Treasury professional to support cash flow forecasting, payments, reconciliations and liquidity management for the national Deposit Return Scheme.
You will work with the Head of Treasury, finance team and partners, maintain bank relationships, ensure security of funds, and contribute to timely financial reporting; hybrid working with minimum 3 days in office.
#J-18808-Ljbffr
Treasury Analyst β Cash & Liquidity Specialist (Hybrid) in Milton Keynes employer: Exchange for Change
At Exchange for Change, we pride ourselves on being an exceptional employer dedicated to creating a positive impact through our innovative Deposit Return Scheme. Our Milton Keynes office offers a collaborative work culture where employees are empowered to contribute to meaningful environmental change while enjoying competitive benefits, including a generous holiday allowance, flexible working arrangements, and comprehensive health support. Join us to be part of a purpose-driven team that values your growth and well-being as we work together towards a sustainable future.