Treasury Manager - Cash & FX Strategy
New Yesterday
A leading IT solutions provider in the City of London is seeking a Treasury Associate to support Treasury-related activities. The role involves managing daily cash flow, ensuring liquidity, and providing insightful analysis to inform decision-making. Candidates should have strong Excel skills, be part qualified in accounting, and possess excellent stakeholder management abilities. Join this dynamic team and help drive financial excellence in a collaborative environment.
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- Location:
- City Of London
- Job Type:
- FullTime