Tax & Treasury Recruitment have been engaged to recruit a Senior Treasury Analyst to lead Treasury operations within a growing team based in Slough.
This is a progressive position with a clear path for promotion. You will be Middle/Front office, with all back-office duties delegated.
The business has grown organically and has increased its international presence. This role will support continued growth.
Your role
Reporting into the Treasurer, you will be responsible for the day-to-day operations of the Treasury department.
This includes oversight of one member of the team that has hands on responsibility of cash management.
The hands on "doing" part of your role will be FX hedging.
A significant part of your role is to review, improve and implement systems, processes and controls. This will include working with the Treasurer to implement a new TMS, implementing new controls for intercompany cash management and cash forecasting, and identifying areas of risk that need to be managed.
You will also partner with the Treasurer on wider strategic matters. Initially this will most likely be around debt management, with increasing scope as you develop in parallel with the company's growth and in line with your interests.
About you
Experience in a corporate treasury position, where the focus has been process/system improvement.
The ability to think outside the box and offer new ideas or approaches.
Your experience should include cash management, FX, risk, controls and stakeholder management. You may be missing a few areas, but you will have a good awareness.
The interest and drive to develop and grow with the business.
If this sounds like you, reach out to Tom Sharland-Harris at Tax & Treasury Recruitment.
Tax & Treasury Recruitment, Experts in Tax & Treasury Recruitment.