Treasury Analyst: Cash Flow & Forecasting

Treasury Analyst: Cash Flow & Forecasting

Full-Time No working from home possible
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Wonderfield Group, a leading food business operating across the UK, Ireland and Europe, is seeking a Group Treasury Manager to oversee liquidity management, cash forecasting and banking relationships. This role will help to implement a Treasury Management System, improve working capital and drive continuous improvement across finance functions.

Reporting to the Group Treasury Manager, you will work with finance, credit control and operational teams to optimise cash flow, monitor liquidity and

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Treasury Analyst: Cash Flow & Forecasting employer: The Wonderfield Group

At Yo! in Westfield Stratford, we pride ourselves on being an exceptional employer that fosters a dynamic and inclusive work culture. Our Head Chef role offers not only the chance to lead a passionate team in crafting exquisite Japanese-inspired dishes but also provides ample opportunities for personal and professional growth in a fast-paced environment. With a focus on teamwork and continuous improvement, you'll find a supportive atmosphere where your culinary creativity can truly shine.

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Contact Details:

The Wonderfield Group Recruitment Team