Job description
We are looking for an organised and analytical Treasury Analyst to support the day‑to‑day operations of the Treasury function.
This role plays a key part in ensuring effective cash management, bank administration, and financial controls across the business.
You’ll assist with liquidity reporting, bank reconciliations, payments processing, forecasting and support broader treasury projects in a fast‑paced finance environment.
Key Responsibilities Cash & Liquidity Management Assist with daily cash…