Our client is within the Oil & Gas sector and has strong regional presence.
About The Job
In this role, you will work collaboratively in a team of 7 within the treasury function. You will be responsible for managing daily cash flow to ensure accurate cash balances and sufficient liquidity across the business. You will collaborate closely with the wider finance team to support accurate cash flow forecasting and contribute to the overall financial planning process. Additionally, you will handle payment processing, maintain banking relationships, and assist with related treasury operations to support the organisations financial health.
Skills And Experience Required
You should hold a Bachelor&aposs degree in Accountancy or it&aposs equivalent, with at least one year of experience in a treasury function. The ideal candidate is a collaborative team player who thrives in a supportive, team-oriented environment.
To apply online please use the &aposapply&apos function, alternatively you may contact Francine.