Treasury Analyst
About the Role We are looking for a Treasury Analyst to join our Group Finance team for a rapidly growing Tech company, and support the continued development of the Group's treasury function. Reporting to the Group Treasury Manager, you will play an important role in supporting liquidity management, cash forecasting, cash management, banking relationships and the implementation of the Group's Treasury Management System (TMS). You will work closely with Finance, Credit Control and operational teams across the business to improve cash visibility, strengthen forecasting accuracy, optimise working capital and support treasury transformation initiatives. This is an excellent opportunity for an individual with 2-5 years' experience in Treasury, Cash Management or Finance who is looking to develop their career within a growing, international organisation.