Treasury - Finance Business Partner

4 Days Old

Your new companyYour new organisation operate within the public sector and are looking for an experienced Finance BP/Treasury Accountant to start working on a remote/hybrid basis. Your new role
Lead cross‑functional cash flow management, ensuring sufficient liquidity, timely investments, and advising on fund drawdowns in line with Treasury policy. Develop clear, insightful monthly Treasury & Risk reports to support strategic decision‑making. Manage the annual financial planning process and support the Treasury budget, working closely with teams across the business. Build and maintain the 30‑year business plan and undertake stress testing in collaboration with senior stakeholders. Ensure accurate, timely financial data flows to produce reliable management information. Oversee correct accounting treatment of treasury transactions and contribute to statutory accounts preparation. Provide data‑led insights, support budget holders, and build strong working relationships across the organisation. Offer expert financial advice, challenge performance, and develop additional analysis to influence effective decisions. Support the Head of Business Planning & Treasury with risk management, VFM reporting, KPIs, and departmental initiatives. What you'll need to succeedYou will require experience within Treasury, cashflow management as well as ideally worked within the public sector. You will have strong communication ski...
Location:
Newport
Salary:
£52,000 /annum £52,000
Job Type:
FullTime
Category:
Accounting & Finance

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