Treasury Analyst - Global Cash Management & Operations

Treasury Analyst - Global Cash Management & Operations

Full-Time No working from home possible
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Haleon plc. is seeking a Treasury Analyst – Operations & Cash Management to support daily treasury operations and provide cash management and liquidity analysis.

The role entails managing the group’s cash position, enhancing settlement processes and delivering KPI reporting. The candidate should have a finance qualification (CIMA/ACCA/AMCT/MCT/CFA) or equivalent experience, and proven treasury experience, with strong numerical and communication skills.

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Treasury Analyst - Global Cash Management & Operations employer: Haleon plc.

At Haleon, we pride ourselves on being a purpose-driven employer that champions everyday health through our renowned consumer brands. Our dynamic work culture fosters collaboration and innovation, providing employees with ample opportunities for professional growth and development in a supportive environment. Located in a vibrant area, we offer unique advantages such as flexible working arrangements and a commitment to diversity and inclusion, ensuring every team member feels valued and empowered to contribute to our mission.

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Contact Details:

Haleon plc. Recruitment Team