Temporary Assistant Treasury Analyst - 3 months in London

Temporary Assistant Treasury Analyst - 3 months in London

London Temporary No working from home possible
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Cash Management & Treasury Operations Monitor daily cash balances across all bank accounts. Prepare and maintain short-term and long-term cash flow forecasts. Manage cash positioning activities to ensure sufficient liquidity for operational requirements. Assist in the execution of fund transfers, intercompany funding, and investment activities. Support treasury projects aimed at improving cash management and banking efficiency. Bank Transaction Processing Download and review daily bank statements. Post and reconcile bank transactions accurately within the ERP or accounting system. Process receipts, payments, direct debits, standing orders, and bank fees. Investigate and resolve unreconciled items and banking discrepancies. Ensure all bank transactions are recorded in a timely and accurate manner. Maintain supporting documentation and audit trails for all treasury transactions. Bank Reconciliations Perform daily, weekly, and monthly bank reconciliations. Identify, investigate, and resolve reconciling differences. Work closely with Accounts Payable, Accounts Receivable, and General Ledger teams to resolve outstanding items

Temporary Assistant Treasury Analyst - 3 months in London employer: Marc Daniels

Join a leading international organisation in Maidenhead as a Senior Cloud Billing Analyst, where you will thrive in a collaborative and supportive environment that values continuous improvement and professional development. With a competitive salary and hybrid working options, this role offers significant exposure to business-critical projects, allowing you to make a meaningful impact while enjoying a diverse workplace committed to inclusion and growth.

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Contact Details:

Marc Daniels Recruitment Team