Treasury Operations & Cash Management Analyst

Treasury Operations & Cash Management Analyst

Full-Time No working from home possible
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Haleon is seeking a Treasury Analyst - Operations & Cash Management to support daily treasury operations and provide cash management and liquidity analysis. You will help ensure accurate, timely and controlled execution of treasury processes across the group.

The role involves managing global cash position, liquidity forecasting, settlements, reporting and KPI development, with opportunities to contribute to system and process improvements within Treasury Operations.

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Treasury Operations & Cash Management Analyst employer: Haleon

At Haleon, we pride ourselves on being a purpose-driven employer that champions everyday health through our renowned brands. Our agile and performance-focused culture fosters collaboration and innovation, providing employees with ample opportunities for growth and development in a supportive environment. Located in a vibrant community, we offer a unique blend of professional challenges and personal fulfilment, ensuring that every team member can thrive while making a meaningful impact on global health.

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Contact Details:

Haleon Recruitment Team