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We are looking for a detail-oriented Treasury Analyst to join a dynamic corporate treasury team in Paisley. This is a 6-month contract role focused on day-to-day cash management, bank documentation, and high-level reconciliations.
Job Responsibility:
Manage daily cash positioning and funding for various cash pools
Perform month-end reconciliations (WSS/TMS to HFM)
Act as the first point of contact for banking queries and resolve issues across the EMEA region
Take ownership of bank documentation, including opening/closing accounts
Support internal and external audits (SOX compliance)
Requirements:
2-3 years in Treasury or Accounting with a heavy focus on cash management
Proficiency in MS Office and banking platforms (Treasury Workstation experience is a plus)
High accuracy
Strong communication
Ability to meet strict deadlines independently
Degree in Finance/Accounting or CTP qualification preferred