Job Description
An exciting opportunity to join a growing fin-tech businessYou will be part of the newly created Treasury teamAbout Our Client
The employer is a growing fin-tech business specialising in payments
Job Description
Monitor and manage liquidity to ensure adequate cash flow for operational needs.Analyse cash flow forecasts and provide recommendations for optimisation.Support the implementation of treasury policies and procedures.Prepare regular liquidity and treasury reports for senior management.Assist in managing relationships with financial institutions.Ensure compliance with regulatory requirements related to treasury activities.Collaborate with internal teams to enhance financial strategies and practices.Identify opportunities to improve the efficiency of treasury operations.The Successful Applicant
A successful Treasury Liquidit...