Global Marine Group is looking for a professional to join their finance team focusing on cash management and forecasting. The role involves preparing treasury reports, managing daily cash positions, and maintaining relationships with banking partners. Candidates should be part-qualified accountants with experience in cash management and solid analytical skills. The position offers a hybrid working arrangement of 3 days in the office and 2 days remote each week, along with a diverse benefits package including health insurance and an employee discount scheme.
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