The successful candidate will report to the Head of Treasury of this large, privately-owned group. Your principal responsibilities will be to manage and develop existing and new financing arrangements, working closely with internal and external stakeholders to optimise the cost of funding, maintain liquidity, and support ongoing treasury operations. You will manage existing cash funding and credit facilities, prepare external reporting to financing partners, support the development of banking relationships, and identify and implement new financing arrangements for the company.
Skills
The successful candidate will have previous treasury experience in a large and complex group, ideally with a clean energy focus. You will need experience in trade finance processes and proficiency in Excel. A relevant professional qualification (e.g. ACT, ACA, CFA) would be useful but is not an absolute prerequisite. Our client is looking for a team player with strong numerical and analytical skills, attention to detail, reliability under pressure, and good interpersonal skills.
Apply
To apply for this Group Treasury position, please use the apply button.
Please note that due to the expected volume of applications, we will only be able to respond to those candidates whose experience closely matches the requirements of our client. We are sorry, but if you have not heard from us within the next ten days, please assume you have been unsuccessful on this occasion.
Seniority level
* Associate
Employment type
* Full-time
Job function
* Accounting/Auditing and Finance
* Services for Renewable Energy
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