Treasury Analyst: Multi-Currency Cash & Forecasting (Hybrid)

Treasury Analyst: Multi-Currency Cash & Forecasting (Hybrid)

Full-Time No working from home possible
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SF Partners in Salford is seeking a Treasury Analyst to manage cash operations and forecasting within a growing finance function. You will contribute to consolidation reporting, analyze net debt trends, and maintain the bank register.

The role requires experience in treasury with multi-currency and multi-entity exposure, and offers hybrid working, study support, and a reward package linked to performance. This is an excellent opportunity to develop and progress your career.

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Treasury Analyst: Multi-Currency Cash & Forecasting (Hybrid) employer: SF Partners

SF Partners is an exceptional employer, offering a dynamic and entrepreneurial work culture that prioritises employee development and impact. With ambitious growth plans and a commitment to investing in its people, this Private Equity backed business provides unique opportunities for career advancement, particularly for finance professionals looking to transition into leadership roles. The hybrid working model further enhances work-life balance, making it an attractive place for talented individuals to thrive.

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Contact Details:

SF Partners Recruitment Team