Haleon is seeking a Treasury Analyst to oversee daily Treasury Operations and provide cash management and liquidity analysis. You will manage the Group’s global cash position, ensuring optimum cash usage while supporting short-term liquidity analysis.
The ideal candidate will hold a financial qualification, possess strong experience in Treasury Operations, and display high numerical competency. This role is essential for ensuring the effective execution of treasury processes and continuous improvement within the department.
#J-18808-Ljbffr