About Our Client
Our client is a prominent player in the FMCG industry, with a considerable workforce distributed across several locations. Renowned for their commitment to quality and innovation, they boast a wide array of products that are household staples across the globe.
Job Description
* Managing the organisation's financial assets and liabilities.
* Overseeing cash management operations including funds transfers, cash forecasting, and liquidity management.
* Implementing effective strategies for risk management and corporate finance.
* Coordinating with accounting and finance departments to achieve financial objectives.
* Analysing financial data for decision-making processes.
* Ensuring compliance with financial regulations and standards in the FMCG industry.
* Developing and maintaining relationships with banking and financial partners.
* Contributing to the company's financial strategy and planning.
The Successful Applicant
A successful Treasury Manager should have:
* A degree in finance, accounting or a related field.
* 3 years of corporate treasury experience
* Strong knowledge of financial regulations and accounting procedures.
* Excellent analytical and numerical skills.
* Good understanding of risk management.
* Superior communication and leadership abilities.
* Proficiency in financial software and databases.
* TMS/IT2 experience.
What's on Offer
* Competitive annual salary range of £40,000 to £50,000.
* An initial annual £1,000 bonus.
* Generous holiday entitlement.
* Opportunity to work in a vibrant and innovative environment.
* Chance to play a key role in a leading FMCG company.
We invite all eligible candidates to seize this exciting opportunity to contribute to a leading firm in the industry.
Apply today to join our talented team in Manchester.
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