Your new company
A key role within a vibrant organisation who have demonstrated an excellent culture over the years. They form part of a larger group but have demonstrated strong retention over the years and seek a part or fully qualified accountant with strong reporting and cash management skills.
Your new role
Reporting to the Financial Controller, you will compile weekly and rolling cash forecasts across a variety of currencies, updating monthly cash flow actuals with the central treasury team as required. You will reconcile all bank accounts and business credit cards on a monthly basis, reconciling all bank accounts and business credit cards on a monthly basis, supporting hedging activities and support the wider finance team across a wide range of financial projects which are currently in-flight. You will conduct deeper dive analytical duties into the numbers and work with a range of local and international stakeholders.
What you'll need to succeed
You will be a part or fully qualified accountant with exposure to reporting, cash management, analysis and treasury. You will demonstrate a hands-on approach and strong relationship management skills.
What you'll get in return
Flexible working options available, a bonus and a host of benefits for the successful candidate.
What you need to do now
If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.
If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career.
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