We are looking for a qualified accountant to join the Treasury team, supporting the day-to-day management of the Group's cash and liquidity position. The role is responsible for ensuring robust cash management processes, maintaining accurate treasury records and reporting, and partnering with stakeholders across Finance and the wider business to optimise cash flow and support decision-making.
- Manage the Group's daily cash position, ensuring sufficient liquidity is available to meet operational requirements.
- Prepare and review daily cash balances, funding requirements and cash movements across multiple bank accounts.
- Perform bank reconciliations, investigate and resolve reconciling items, and ensure treasury records remain accurate and complete.
- Support the preparation and ongoing maintenance of short-, medium- and long-term cash flow forecasts, working closely with FP&A and business stakeholders.
- Produce regular treasury reporting and management information, including liquidity, cash flow and banking metrics, providing clear insights to senior management.
- Build strong relationships with teams across Finance and the wider business to improve cash forecasting accuracy and drive effective working capital management.
- Support treasury governance by maintaining appropriate controls, procedures and documentation.
- Assist with ad hoc treasury projects, process improvements and system enhancements as required.
Skills & experience
- Qualified accountant (ACA, ACCA or CIMA).
- Experience in treasury, financial accounting or a similar finance role with exposure to cash management.
- Strong understanding of cash management, bank reconciliations and cash flow forecasting.
- Excellent analytical skills with a high level of accuracy and attention to detail.
- Strong communication and stakeholder management skills, with the ability to work collaboratively across Finance and the wider business.
- Advanced Excel skills; experience of treasury management systems and ERP platforms would be advantageous.
- Proactive, organised and able to manage competing priorities in a fast-paced environment.
Randstad Financial & Professional encourage applications from individuals of all ages & backgrounds. Appointment will be made on merit alone but candidates must be able to demonstrate their ability to work in the UK. Randstad Financial & Professional acts as an employment agency for permanent recruitment & an employment business for temporary recruitment as defined by the Conduct of Employment Agencies & Employment Business Regulations 2003

Job ID PR-1532592
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Randstad Financial & Professional
London, United Kingdom
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