The Business:
Our client is a prominent global Manufacturing and Engineering company with an impressive turnover of £270 million. Specialising in heavily engineered industrial products, our client has experienced consistent growth through both organic expansion and strategic acquisitions. They offer comprehensive design, build, and repair services across diverse sectors including mining, oil and gas, marine, power generation, and manufacturing/engineering. Recognised as a market leader, with manufacturing facilities on every continent, this presents a fantastic opportunity to join a company committed to ongoing global growth and innovation.The Role:
We are seeking a highly analytical and detail-oriented Group Treasury & Financial Reporting Accountant to join a dynamic finance team. This pivotal role combines treasury management with Financial Planning & Analysis (FP&A) responsibilities, focusing on managing cash and working capital across the global group, as well as liaising with banks and lenders on treasury options, banking arrangements, and financing facilities.
In this role, you will coordinate the preparation of fortnightly cash flow forecasts, manage long-term cash forecasting, and lead critical FP&A projects that are integral to the group's financial strategy. You will also be responsible for covenant reporting, consolidating inputs from all sites, and conducting detailed analytical reviews,...