Treasury & Liquidity Analyst β€” Cash, FX & Reporting

Treasury & Liquidity Analyst β€” Cash, FX & Reporting

Full-Time 40000 - 50000 Β£ / year (est.) No working from home possible
Just Eat Takeaway.com

At a Glance

  • Tasks: Manage cash positioning, execute investments, and deliver Treasury reporting to senior stakeholders.
  • Company: Join Just Eat Takeaway.com, a leader in the food delivery industry.
  • Benefits: Inclusive culture, professional growth, and the chance to make an impact.
  • Other info: Maternity cover role with opportunities for career development.
  • Why this job: Be part of a dynamic team and enhance your finance skills.
  • Qualifications: Exceptional cash flow management and strong communication skills.

The predicted salary is between 40000 - 50000 Β£ per year.

Just Eat Takeaway.com is seeking a proactive finance professional for a maternity cover role in their Group Finance & Business Services (GFBS) team. In this role, you will manage cash positioning, execute investments, and deliver crucial Treasury reporting to senior stakeholders.

Applicants should demonstrate exceptional cash flow management skills, effective communication, and adaptability.

Join us in fostering an inclusive culture where every employee feels they belong and can contribute their unique perspectives.

Treasury & Liquidity Analyst β€” Cash, FX & Reporting employer: Just Eat Takeaway.com

Just Eat Takeaway.com is an excellent employer that prioritises inclusivity and employee growth, making it a fantastic place for finance professionals to thrive. With a dynamic work culture that encourages collaboration and innovation, employees benefit from opportunities to develop their skills while contributing to impactful Treasury operations in a fast-paced environment. Located in a vibrant city, the company offers a supportive atmosphere where every team member's unique perspective is valued.

Just Eat Takeaway.com

Contact Details:

Just Eat Takeaway.com Recruitment Team

We think you need these skills to ace Treasury & Liquidity Analyst β€” Cash, FX & Reporting

Cash Flow Management
Treasury Reporting
Investment Execution
Communication Skills
Stakeholder Management
Proactivity
Adaptability