Job Location : March, UK
Due to continued growth, FRS has a full-time, permanent vacancy for an experienced Treasury Professional on a part-time, reduced hours basis of 25-30 hours a week.
Working from the offices in Cambridgeshire, your key purpose will be to provide a high level of financial and administrative support to the Head of Finance whilst delivering detailed reports on cash, working capital, and cashflow position within the business, thus improving the efficiency of company cash control and management.
Duties:
Key Areas:
* Detailed reporting on cash, working capital, Efficient management of the cash function, Cashflow forecasting and analysis, Bank facilities management
* Effective application of administering workload within agreed timescales, Submit weekly rolling 13 weeks cash flow forecast, Preparation of weekly reports to identify opportunities for improvement
Applicants must have previous Treasury experience with a sound grasp of cash management and an ability to provide accurate cash forecasts. You will be a team player with the ability to communicate effectively both in person and in writing. A good level of IT Literacy with a sound grasp of MS Excel is a must.
My client is willing to consider candidates that are both qualified (ACCA, CIMA, AAT, ACT) or actively studying or even those that are qualified by experience and can demonstrate a sound knowledge gained previously within a similar position.
An excellent starting salary of up to £60,000 fte coupled within excellent benefits, bonus and long term career progression opportunities, await the successful candidate.
Salary : 50000 - 60000
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