Descripción
To produce the weekly cash days forecasts. In addition the post holder will assist with the daily treasury functions and produce the foreign exchange forecasting, enterprise reporting, statutory reporting, corporation tax analysis and ad hoc reporting. The post will also involve enhancing the reporting process using the ABC system and assisting with the FCs and AOP.
The position reports to the Treasurer. In order to provide satisfactory service the position must focus on:
Weekly production of working capital forecasts
Provide cover for the daily treasury tasks, cash reporting and exposures, during holiday periods, illness and periods of high workload
Produce the monthly enterprise powerpoint slides and questions
Corporation tax analysis
Assist Treasurer in producing statutory accounts
Daily foreign exchange gain/(loss) forecasts
Analyse monthly foreign exchange results
Enhance the enterprise reporting system by utilizing the ABC system
Assist with the FCs and AOP
Assist with other additional reporting requirements as needed.
Working knowledge of SAP
Advanced computer skills; especially Excel / Word / Outlook.
Ability to be proactive and resolve issues under own initiative.
Able to work effectively in time pressured situations ensuring reporting deadlines are met.
Ability to work well in a multi-tasking environment
Able to communicate clearly with colleagues and management.
Able to interact openly and directly with others in the team.
Ability to analyze data concisely and effectively in often time pressured situations
Able to produce accurate and concise analysis for senior management review.
Financial or Business degree
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Número de vacantes
1
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Tipo de contrato
Indefinido
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Salario