Oversee the monthly cashflow forecast process, liaising with Group agencies on submissions and consolidating for monthly reporting.
Provide reporting on opening variances, plan-to-plan variances, and liquidity projections.
Collaborate closely with the FP&A team to ensure timely and accurate covenant calculations, financial forecasting, and adherence to compliance deadlines.
Support the Group Treasurer with banking requirements across multiple regions, including banking migration across the US, UK, and Middle East.
Lead and assist with process and reporting enhancement projects, providing support on strategic Treasury projects.
Requirements
5+ years of experience in treasury operations, including prior experience at Treasury Manager level.
Proven expertise in cash management, cashflow forecasting, and banking relationships.
Proficient in Microsoft Excel with strong command of intermediate-to-advanced functions.
Self-motivated and proactive, with the ability to work independently and take initiative.
Thrives in fast-paced environments, maintaining accuracy and efficiency under pressure.