Treasury Cash Manager
Rutherford Cross
Published
September 30, 2019
Location
Edinburgh, United Kingdom
Job Type
Region
Scotland:, - Edinburgh
Sector
Industry and Commerce
Specialism
Tax and Treasury

Description

Our client is a highly acquisitional company in the energy sector with exciting plans to increase headcount dramatically over the coming months.  Rutherford Cross has been engaged to source a Treasury Cash Manager to support the Group Accountant and the wider finance team.

The role is currently UK focussed but is likely to become Europe-wide as the company grows.

Key Responsibilities

  • Supporting the Group Accountant in the Maintenance of bank signatories
  • Supporting the Group Accountant in the Maintenance of Bank Facility documents and permanent information
  • Overview of daily cash across the portfolio, ensuring cash is in the right place at the right time, moving the cash up and down the group
  • Daily and weekly cash reporting
  • Working alongside the transactions team, delivering the month end close, and the bank reconciliations
  • Monitoring the financial instruments on a monthly basis, and reporting movements, supporting the transactions team in the accounting capture

Preferred Experience

The successful candidate will have relevant experience in a corporate treasury, finance function or financial services.  You will have proven experience working with electronic banking systems and payment processes and a strong working knowledge of treasury management systems.

To discuss in confidence please contact [email protected] or call 07494 280 152.

Salary: £25k - £35k

Related Jobs

Assistant Accountant   Glasgow, United Kingdom new
May 2, 2024
Capital Accounting Assistant   Glasgow, United Kingdom new
May 2, 2024
Commercial Finance Analyst   Glasgow, United Kingdom new
May 2, 2024
Finance Manager   Newcastle, United Kingdom new
May 2, 2024