Cash Management Specialist - New Function in the UK
Support cash forecasting, liquidity management, and cash pooling activities, while monitoring daily cash positions, processing treasury transactions, and contributing to accurate reporting. Assist across Treasury operations, governance, and digital initiatives, including bank relationship management, transaction execution, compliance reporting, and driving process improvements through automation and system enhancementsClient DetailsA globally recognised industrial leader in the manufacturing space combining decades of expertise with a clear ambition to shape a more sustainable, forward-looking futureA truly international business, bringing together a diverse workforce and serving customers across major global markets, with products that play a vital role in everyday lifeA culture that values fresh thinking and collaboration where people are empowered to challenge the status quo and contribute to meaningful, visible changeSignificant investment in building a high-impact UK, US and EU Treasury hub, offering the chance to be part of a function being shaped from the ground up within a wider global networkA rare opportunity to join during a period of momentum and transformation, where you can influence how the function evolves, gain broad exposure, and make a genuine mark on an international businessDescriptionPlay a key role in shaping and supporting a brand new UK, US and EU Treasury function, contributing to the development of robust processes, controls, and best practice ..... full job details .....
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