Robert Walters are exclusively partnering with a leading organisation to recruit a 12 month FTC Cash Reporting and Treasury Analyst to join their Group Finance team on a remote basis. The role will be responsible for ensuring the quality and timeliness of the Group's cash reporting and forecasting, for oversight and administration of the Group's bank accounts and debt position and act as a point of contact for the Lenders' Agent. Key Responsibilities: Cash reporting: Consolidation and reporting of the weekly cash position, providing commentary and explanation of variances. Review of monthly cash flow statements, understanding variances to budget and providing commentary for the Group Board pack. Consolidation of annual cash flow budget, understanding the key drivers and proving commentary for the Group Board. Supporting, developing and maintaining cash forecasting model for the head office companies. Maintain the Group's forecast for payments of external interest, hedging instruments and bank fees. Monitor the lending strategy and funding requirements in line with the latest forecast. Maintain oversight of the Group's bank accounts, ensuring mandates and access rights are up to date. Manage key external advisors including auditors and Lenders' Agent, Key skills and experience: A qualified accountant with experience of cash reporting and forecasting will be successful in this position. Excellent analytical skills, strong communications and people skills The ability to work under tight deadlines, managing multiple stakeholders (both internal and external) whilst retaining integrity and attention to detail. Highly motivated self-starter Demonstrates and demands personal commitment to team goals. Ability to nurture a culture of curiosity and continuous improvement. Robert Walters Operations Limited is an employment business and employment agency and welcomes applications from all candidates