- Help lead on the arrangement of new banking or debt capital markets facilities.
- Prepare and manage medium-term cash flow forecast.
- Report on treasury KPIs to finance senior management team.
- Lead on analysing the appropriateness of banking arrangements.
- Assist the Finance team in any ongoing projects where suitable
Required Knowledge, Skills, and Abilities
· Business Planning · Good knowledge of treasury · Excellent IT skills · A clear and persuasive communicator · Communicate complex financial information to non-finance colleagues · A part - qualified accountant ( ACCA/ACA/CIMA)
Reference no: 36279
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