Treasury Manager: Cashflow Forecasting & Liquidity

2 Days Old

A leading recruitment firm is seeking a Treasury Manager to oversee cash flow reporting and forecasting. The role involves owning the cash flow forecasts, managing liquidity, and developing cash-flow models that reflect business needs. The successful candidate will have strong experience in regulated environments and a qualification such as ACA or ACCA. This position offers a chance to engage with senior leadership, making it critical for decision-making in a changing landscape. #J-18808-Ljbffr
Location:
Greater London
Job Type:
FullTime

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