Treasury and Financial Strategy Accountant
Role Title: Treasury and Financial Strategy Accountant Type: Interim 3 to 6-month contract Day Rate: Competitive Hybrid: Onsite presence is a requirement Location: Leicestershire Sellick Partnership are working with a Local Authority in Leicestershire who are seeking an experienced Treasury and Financial Strategy Accountant to support the Council''s treasury management and medium-term financial planning. This is an exciting opportunity to work closely with the Financial Strategy and Treasury Manager, supporting the delivery of the Council''s treasury activities, financial strategies and budget setting processes. The responsibilities of the Treasury and Financial Strategy Accountant will be:Supporting the preparation of treasury management policies and strategiesAssisting with borrowing, investment and asset financing activitiesSupporting day-to-day treasury management decisions in line with Council policyPreparing financial forecasts and sensitivity analysisSupporting the preparation of the General Fund BudgetAssisting with the development of the Medium-Term Financial Strategy (MTFS)Ensuring treasury activities comply with relevant legislation and best practice The ideal candidate for the Treasury and Financial Strategy Accountant role will have:Previous experience working within Local Government financeTreasury management and financial strategy experienceExperience supporting budget setting and Medium-Term Financial Strategy (MTFS)Knowledge of local authority treasury ..... full job details .....
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