Position Overview
Role Description
Improve treasury financial management, interest processes and transfer pricing frameworks. Analyse FX exposures and help design practical hedging and currency management solutions. Support automation of intercompany settlement, cash management and loan documentation. Act as subject matter expert for treasury workflows within our TMS. Work with auditors and internal stakeholders to ensure strong controls and clear reporting. Drive enhancements to processes, documentation and system workflows. Role Requirements
Chartered accountant with strong financial accounting experience. Confidence working with data, reporting tools, and Excel. Clear communicator with great written English. Organised, analytical, curious and comfortable with both BAU and project work. Knowledge of treasury, banking, or intercompany processes. Experience run...