Senior Treasury Analyst -EMEA
Reporting to Senior Treasury Manager and based in Central London, this person will be responsible for day-to-day Treasury operating activities in EMEA. The emphasis of the job is on cash management with main responsibilities including operating regional cash management solutions in close alignment with the Global cash management function. Cash flow forecasting, coordination, and local banking support are other activities of the job. The job requires close partnership with the EMEA Finance, Tax and Legal.
This position offers ample opportunities for development and promotion over time within Treasury or the option to broaden into other Finance areas or beyond. The Treasury Analyst will align closely with the Corporate Treasury team in California, Shared Services Center and EMEA Finance team.
Areas of responsibility include:
We are looking for someone who believes in working together as part of a team, who shares our values and who is positive and friendly. What you will need to succeed:
Original source: Indeed