At a Glance
- Tasks: Manage cash, forecast liquidity, and report on financial performance.
- Company: Join a dynamic, PE-backed group with global operations.
- Benefits: Enjoy hybrid working, hands-on experience, and exposure to senior leaders.
- Other info: Collaborative environment with opportunities for career advancement.
- Why this job: Gain valuable insights into treasury functions and international finance.
- Qualifications: Strong analytical skills and a passion for finance.
Radley Green is recruiting for an internationally operating PE-backed group for a Treasury Analyst role focused on cash management, forecasting and liquidity. The role sits in a growing Treasury function and offers hands-on exposure to cash management, repatriation of funds, forecasting and reporting.
Hybrid working, with 2 days a week in the office, and opportunity to work closely with senior leaders and banking partners across international markets.
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Hybrid Treasury Analyst: Global PE-Backed Cash & Forecast employer: Radley Green
Join a global tech company that values innovation and collaboration, offering a fully remote work environment in the UK. With a competitive salary of Β£65k-Β£75k and a commitment to employee growth, you'll have the opportunity to lead complex projects that make a real commercial impact while being part of an inclusive team culture that encourages creativity and the use of cutting-edge AI tools.