At a Glance
- Tasks: Manage cash flow and banking relationships to ensure financial stability.
- Company: Dynamic facilities management group with a supportive culture.
- Benefits: Career development opportunities and a hybrid work model.
- Other info: Exciting career growth potential in a collaborative environment.
- Why this job: Play a key role in optimising financial operations and ensuring liquidity.
- Qualifications: Qualified accountant with strong analytical skills and finance background.
The predicted salary is between 45000 - 55000 Β£ per year.
A dynamic facilities management group is seeking a Treasury Accountant to oversee cash flow, banking relationships, and financial operations.
This role is pivotal in ensuring liquidity and optimising returns.
Ideal candidates are qualified accountants with excellent analytical skills and a strong background in finance and treasury management.
The position is office-based in Cardiff with a supportive company culture and opportunities for career development. #J-18808-Ljbffr
Treasury & Cashflow Lead β Hybrid Cardiff in Penarth employer: HSG Facilities Management
Join a dynamic facilities management group in Cardiff, where we prioritise a supportive work culture and foster employee growth. As a Treasury & Cashflow Lead, you'll not only manage crucial financial operations but also benefit from our commitment to career development and a collaborative environment that values your contributions.