This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
This is an excellent opportunity to join a large organisation within the energy space. The company is well-established and offers a professional environment with a focus on operational excellence and innovation.
Job Responsibility:
Review the daily liquidity report, other ad-hoc/periodic reporting and month-end processes
Own the medium term cashflow & 13-week liquidity forecast process
Manage the cash management bank relationships, along with all reporting, mandate & KYC requirements
Drive the improvement of current and further TMS developments
Manage key bank operational systems (online banking/MMFs)
Own and produce periodic FX risk analysis, liaising with wider Treasury and Procurement as part of the process
Provide ad-hoc support to the Corporate Treasury Team based in London
Requirements:
An accounting qualification, or working towards (ACA, ACCA, ICAS)
Working knowledge and experience in Treasury Accounting under UK GAAP (FRS 102) (especially debt and derivatives, including hedge accounting)
Between 2 and 3 years of experience in Treasury would be desirable. Knowledge of cash management, cashflow forecast, intercompany structures and Treasury systems is essential.
Strong excel and other MS application skills.
Ability to analyse and effectively present/communicate data.