This job is no longer available
My client is a leading leisure industry brand with a fantastic offering that is universally recognised as best in class. Following a recent restructure, they now seek to appoint a Finance Manager - Treasury to take ownership of all cash processes and cash flow forecasting.
The Finance Manager - Treasury will be responsible for ensuring the accurate processing and management of all cash transactions, including payments and bank reconciliations,and setting up cash flow forecasting processes to provide a clear view on short, medium and long term funding requirements. The Finance Manager - Treasury will have experience of foreign currency management, and have a strong desire for accurate and timely work. You will also have previous management experience and be a self-starting and proactive person, a good team player with a positive approach to all situations.
Salary & Benefits
£25,000 - £32,000 Robert Half Ltd acts as an employment business for temporary positions and an employment agency for permanent positions. Robert Half is committed to equal opportunity and diversity. Suitable candidates with equivalent qualifications and more or less experience can apply.