
- Professional
- Office in London
About the role
About you
- Have demonstrable experience in Finance or Treasury (Insurance, Financial Services, or Payments preferred)
- Be confident in cashflow forecasting and banking administration
- Possess strong Excel skills (pivot tables, VLOOKUP) and familiarity with banking platforms (e.g., HSBCNet, Bankline)
- Be part-qualified (ACCA, ACA, CIMA) or studying towards ACT
- Demonstrate high attention to detail, strong communication skills, and a proactive, collaborative mindset
- Experience with Treasury Management Systems and NetSuite is a plus