We're partnering with a highly regarded organisation seeking an experienced finance professional to support a critical period of change and process improvement.This role sits within a sophisticated treasury workplace and combines product control, treasury reporting, stakeholder engagement, and process uplift initiatives.Key responsibilitiesDaily P&L; and product control activitiesTreasury and fixed income reportingAnalysis of market and funding positionsReporting documentation and control improvementsEngagement with treasury,
finance and senior stakeholdersSupport during a key year-end reporting periodWe're interested in speaking with professionals from backgrounds such asProduct ControlTreasury FinanceMarkets FinanceTreasury ReportingTreasury ControlBalance Sheet ManagementFunding & LiquidityFixed Income OperationsIdeal experience includesBanking, treasury or capital markets environmentsFixed income, bonds, rates, swaps or money markets exposureStrong analytical and stakeholder management skillsProcess improvement and controls mindsetCA / CPA qualification preferredThis is an excellent opportunity to step into a visible role, make an immediate impact, and work closely with senior finance leadership.Immediate start available.
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