Our client is seeking a diligent Treasury Analyst to join their industrious Finance team. The role demands a strong understanding of treasury operations and cash management, ideally within the industrial / manufacturing sector. Client Details Our client is a globally recognised, large organisation within the industrial / manufacturing industry. With a robust reputation for excellence, they are based in Birmingham and are leaders in their field, committed to creating high-quality products and solutions. Description Manage daily cash positioning and cash flow forecasting. Execute foreign exchange transactions to mitigate company risk. Collaborate with various departments to improve cash management processes. Assist in the preparation of treasury reports and presentations. Participate in the implementation of treasury management systems. Comply with all regulatory requirements related to treasury operations. Support with internal and external audit requirements. Contribute to ad hoc treasury projects as required. Profile A successful Treasury Analyst should have: A strong academic background in Accounting, Finance, or a related field. Proficiency in treasury management systems. Excellent analytical and problem-solving skills. Strong communication and interpersonal abilities. Knowledge of cash management and foreign exchange transactions. A keen attention to detail, with a commitment to high quality work. Job Offer An estimated salary range of £40,500 to £45,000, commensurate with skills and experience. Generous holiday leave. An inclusive, team-oriented company culture. Opportunities for professional growth and development. Working in the vibrant city of Birmingham. Hybrid working after 3 months. If you are seeking a rewarding Treasury Analyst role in the industrial / manufacturing industry, please apply today. We look forward to receiving your application.