* Degree‐qualified with a professional finance or treasury qualification (AMCT, ACA or equivalent).* 5+ years’ post‐qualification experience within a corporate Treasury function.* Strong experience in: + Cash and liquidity management + Cashflow forecasting + Borrowings, covenants and interest reporting + FX exposure and hedging* Experience working in an international group environment.* Proven experience managing loans, including covenant compliance and lender reporting.* Strong experience with Integrity (TMS) is highly desirable.* Hands‐on, delivery‐focused treasury professional* Strong technical accounting and controls mindset* Able to operate confidently with senior management and external banks* Organised, detail‐oriented and able to work at pace* Pragmatic problem‐solver with strong communication skills* Comfortable operating in an interim / change environment* High‐impact interim assignment within a complex Group* Exposure to senior stakeholders and lenders* Opportunity to play a key role in a major TMS implementation* Broad, end‐to‐end treasury responsibility### Prospect Introduce Yourself
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