Job Opportunity: Treasury Analyst FTC (6-Months)
Our client, a respected entity in the Insurance sector, is seeking to recruit a dedicated and skilled Treasury Analyst to join their finance team. This interim position offers a dynamic work environment where expertise in financial management is held in high regard.
Role & Responsibilities:
The Treasury Analyst will be responsible for:
- Executing daily banking and treasury operations effectively.
- Performing analysis and reporting related to cash flow, treasury activities, and investments.
- Maintaining meticulous records of all treasury transactions.
- Collaborating with other departments to support financial activities and projects.
- Ensuring compliance with internal controls, policies, and regulations in financial operations.
Key Skills Required:
- Strong expertise in Back Office Treasury operations and management.
- Proficient in using financial management software.
- Excellent analytical skills and attention to detail.
- Strong communication and interpersonal skills.
- Ability to work independently and as part of a team.
- Adept at handling multiple tasks and delivering results in a fast-paced environment.
This role is a superb opportunity for someone looking to advance their career in finance within the insurance industry, working for a company that values growth, excellence, and professional development.
