This is an opportunity to join a large successful commercial organisation who have a reputable name nationally. A business that values their staff and offers career progression for people who strive to be successful.
This is a role that will provide you with the platform for success in this varied role where you will be responsible for the successful execution of the treasury function within the team.
You will be responsible for the month end processing of treasury transactions, support the day to day operation of the group banks accounts, supporting the cash & liquidity management as well as being involved with financial and management reporting associated with the treasury function.
If you can role your sleeves up, be enthusiastic to build relationships internally as well as externally then you will be an asset to this team.
Ideally you will have:
- A tertiary qualification in accounting, preferably a CA (or working towards)
- Excellent written and oral communication skills
- The ability to build rapport very quickly
- An excellent attitude to customer service
- Good numeric reasoning skills
If you are interested in the above opportunity and would like some further information, then please don’t hesitate to contact Mark on 0220 755 423 or apply online via the link below.