An exciting opportunity for a Treasury professional with an accounting background to join a high-performing treasury team in a leading manufacturing company on a 12 month FTC. This role combines day-to-day treasury operations with involvement in strategic initiatives, offering strong career development and the chance to make a meaningful impact. The position focuses on process improvement, automation, and best practice implementation across a diverse treasury function.
Key Responsibilioties:
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Manage daily cash, liquidity, and FX operations across global cash pools
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Maintain and support the Treasury Management System (TMS)
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Execute treasury transactions, including FX and money market deals
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Monitor global cash positions and provide weekly reporting
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Oversee intercompany loans, netting, and interest settlements
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Maintain bank mandates and support banking relationships
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Drive automation and process enhancements across treasury functions
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Ensure compliance with IFRS9 for hedging activities
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Support month-end close, reconciliations, and audit deliverables
Requirements:
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Part/newly qualified accountant (ACCA, ACA, or CIMA); AMCT a plus
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3+ years’ experience in finance or corporate treasury
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Strong TMS and Excel skills; experience with Kyriba, Quantum, or Integrity preferred
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Proven ability to improve processes and lead projects
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Exposure to large corporate or listed environments (preferred)
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Immediately available
This is a great opportunity to join a leading manufacturing firm with strong growth potential. Apply now!