| The key part of this role will be the setting up of additional back office structures and procedures. You will also train and develop a small team. The role will involve production of daily cash reports, rolling cash forecasts, variance analysis, cash flow, managing daily cash balances and bank reconciliations As a qualified/part qualified accountant or finance professional you will have proven experience within a treasury role; previous experience of demonstrating initiative and an ability to effectively manage workload. Strong Excel skills are essential. There will be considerable internal and external liaison with various interfaces including Bankers and Auditors which means the individual will need do be able to demonstrate confidence with excellent communication and presentation skills Due to continued growth of this leading Service Company, You will enjoy being part of a growing business at an exciting time with realistic opportunities to progress your career.Only applicants with a suitable amount of UK based finance experience and who have a legal right to work within the UK will be considered. |