An exciting opportunity for a Treasury professional with an accounting background to join a leading organisation, working with TMS and driving process improvements with a strong focus on automation and efficiency. This role offers a mix of operational treasury work and strategic projects, providing excellent exposure and career development.
Key Responsibilities:
Managing cash, liquidity, and FX operations
Supporting and maintaining daily TMS operations (ideally Kyriba)
Working on projects to enhance efficiency and automation
Improving processes and driving treasury best practices
Collaborating with internal teams to optimise treasury functions
Requirements:
Strong operational experience in cash, liquidity, and FX management
Previous experience in a large PLC environment (preferred)
Hands-on TMS experience from both a user and maintenance perspective
Proven track record in projects and process improvement
Accounting qualification or part-qualified (ACA, ACCA, or equivalent)
This is a great opportunity for someone looking to step into a role with real impact. If this sounds like the right fit for you or someone in your network, please get in touch.
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