Wonderfield Group is a leading food business operating across the UK, Ireland and Europe, and part of the Zensho Holdings Group. We are seeking a Treasury professional to support liquidity management, cash forecasting and TMS implementation, collaborating with Finance, Credit Control and operating teams to improve cash flow and working capital.
The role offers a hybrid working environment with opportunities to drive continuous improvement, manage banking relationships and contribute to treasury
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Treasury & Cash Forecasting Analyst β Hybrid Role employer: Wonderfield Group
Wonderfield Group is an exceptional employer, offering a dynamic and collaborative work culture that thrives on innovation and growth. As a Tax Manager, you will have the opportunity to engage with senior stakeholders and gain invaluable experience across multiple European markets, all while enjoying a fantastic hybrid working environment that promotes work-life balance and professional development.