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This job expired on 26/09/2026. It no longer accepts applications.
Accountant – Treasury & Cash Management
Hays Specialist Recruitment Limited · Stockport
Job description
About the role
We are seeking a detail‑oriented Accountant to join a well‑established financial services organisation in Stockport. The role sits within a fast‑paced lending environment and supports daily cash management, funding activity, and treasury operations.
Key responsibilities
- Manage day‑to‑day cash movements and funding lines.
- Perform month‑end reconciliations and support cash‑forecasting activities.
- Collaborate with internal finance teams and an external broker to ensure accurate financial records.
- Assist with audit requirements and uphold internal controls and compliance standards.
Required profile
- Qualified Accountant with experience in finance, treasury, accounts, or financial operations.
- Comfortable handling high volumes of financial data.
- Strong numerical ability, attention to detail, and capacity to manage competing priorities.
Required skills
- Proficient in Excel, including formulas and tracker maintenance.
What we offer
- Opportunity to develop finance and treasury expertise within a growing organisation.
- Exposure to a broad range of operational activities and experienced professionals.
- Potential for personal and professional development as the business expands.
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Hays Specialist Recruitment Limited
Stockport
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