An international business based in a borough of London (west) is now recruiting for a Treasury Manager
The main responsibilities of the role are:
- Cash flow forecasting
- Driving the optimisation of working capital in the business through smart working practices
- Complete VAT returns for the company's subsidiaries, ensuring deadlines are met
- Influencing managers approach across a multi-site business regarding stock management and expenditure etc, thereby improving working capital
This is the perfect role for someone who wants to make the step up into people management (This role has 1 direct report) and who is keen to work in a fast paced finance function.