Financial Analyst Treasury
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The role
A financial professional is sought to support treasury operations, including inter-company reconciliation, financial reporting, and process improvement. The role involves managing balance sheet reconciliations and assisting with cash flow forecasting within a dynamic organisation. Candidates should have strong numeracy skills, experience in balance sheet reconciliations, and familiarity with SAP finance systems. Effective communication, problem-solving, and adaptability are essential behavioural qualities. The position offers opportunities to contribute to financial health and operational efficiency in a busy environment. The role is based in Birmingham and requires a minimum of three years' relevant experience.
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