RS UK & Ireland is seeking a Treasury Analyst to support daily liquidity, forecast cash needs, and manage intercompany funding for a hybrid UK-based role in London or Corby. You will participate in reporting, system enhancements, and process improvements across treasury operations.
The successful candidate will work closely with multiple teams, develop treasury controls, and study towards corporate treasury qualifications while contributing to automation initiatives.
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Treasury Analyst: Cash Flow & Liquidity Optimization in Corby employer: RS UK & Ireland
At RS, we pride ourselves on being an exceptional employer, offering a hybrid work model that allows flexibility between remote work and our Corby office. Our vibrant work culture fosters collaboration and innovation, while our commitment to employee growth is evident through continuous improvement initiatives and a comprehensive rewards package that prioritises wellbeing and recognition. Join us to be part of a team that values your contributions and empowers you to make a meaningful impact in a global environment.