Treasury Analyst
SF Partners · Manchester
Job description
About the role
Our client, a professional services firm based in Salford near Manchester city centre, is seeking a Treasury Analyst to join their finance team on a permanent basis. The role offers the chance to develop cash‑management expertise within a growing organisation that promotes from within.
Key responsibilities
- Manage all aspects of cash management and cash operations.
- Prepare cash forecasts and support consolidation reporting.
- Produce reporting and trend analysis on net debt.
- Maintain and control the bank register.
- Analyse and report on banking charges and interest.
- Handle intercompany controls and reconciliations.
- Conduct movement analysis on foreign‑exchange.
Required profile
- Proven experience in a treasury role dealing with multi‑currency and multi‑entity cash operations.
- Ability to produce cash forecasts and support consolidation reporting.
- Experience analysing net debt, banking charges and foreign‑exchange movements.
- Strong attention to detail and ability to maintain bank registers and intercompany reconciliations.
Required skills
What we offer
- Salary up to £36,000 per year, dependent on experience, plus bonus.
- Attractive benefits package including study support.
- Hybrid working model.
- Holiday incentives for high performers.
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Published 1 month ago
Expires 6 days from now
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SF Partners
Manchester
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