We are seeking a Treasury Risk Analyst to support debt management within a global organisation based in the Manchester area, who offer progression and personal development. This role will be supporting the Treasury Manager and be able to build relationships with stakeholders.
This role is ideal for someone who thrives in a fast paced, international environment and brings strong treasury experience, particularly in managing short term debt, intercompany loans, and cash optimisation.
Key Responsibilities:
* Overseeing short-term funding and debt requirements
* Managing intercompany loan structures and covenant reporting
* Executing FX trades and investments
* Monitoring interest rate and counterparty risk
* Supporting treasury operations and wider transformation projects
Benefits
* Up to £45,000
* Experience in a large operational business
* Free parking
* Company discounts
* Health & Wellbeing support
* Performance based bonus scheme
* Flexi time
We're looking for a well rounded accountant with a sharp eye for risk, a proactive mindset, and a passion for delivering value through smart treasury management.
If you're interested and ready to take your career to the next level in a global setting, please contact me on the details below.