Treasury Analyst focuses on ensure efficient cash management practices.
What the role involves
- Ensure efficient cash management practices.
- Monitoring daily cash flow.
- Maintain accurate cash flow forecasts and reports.
- Handle related documentation and transactions.
- Analysing financial data to support decision-making and enhance liquidity management.
- Ensure compliance with relevant treasury policies and regulatory requirements.
Skills and requirements
- 3- 5 years of corporate treasury experience.
- Experience in treasury operations within the energy & natural resources industry.
Confirmed role details
- Competitive salary ranging from £50,000 to £55,000 per annum.
- A permanent position based in London with opportunities for career development.
Additional role context
- Grow your treasury career in a well rounded corporate treasury function.
- Join a leading business in the Energy sector.
- Proficiency in financial modelling and forecasting tools.
Known job details
- Pay: £50,000 to £55,000 per annum
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Treasury Analyst in London employer: JOBS247 INC LTD
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