Our client are looking for a motivated and experienced Treasury Specialist to play a key role in managing global cash operations and financial trades. This role will primarily see you responsible for the issuance and maintenance of bank guarantees across the business and you will also have active participation in bids, offering direction and assistance in risk management for bank guarantee solutions, and collaborating with banks and sureties to provide the group's guarantee requirements. Key responsibilities include: Reviewing and providing advice on appropriate bank guarantee wording to tender teams. Identifying and engaging with suitable banks and sureties, reviewing guarantees on providing feedback and pricing. Provide advice on Contracts in relation to bank guarantees. Including the appropriate cost inclusion for new project tenders. If you are interested to know more, and have experience in a similar role, ideally within corporate finance, tendering and contracts then I would be keen to hear from you!